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All redemption prices of Invesco Funds

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Invesco
ASEAN Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-AD Shares USD 102.820 103.2500 (-0.4300) N/A 118.5300 97.3000
C-AD Shares USD 112.480 112.9400 (-0.4600) N/A 130.0700 106.5800
S-Acc Shares USD 11.110 11.1500 (-0.0400) N/A 12.5200 10.2500
Z-AD Shares USD 10.580 10.6300 (-0.0500) N/A 12.2500 10.0300
A (HKD)-Acc Shares HKD 105.900 106.3600 (-0.4600) N/A 120.2500 98.6600

Invesco
Asia Asset Allocation Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 4.270 4.2800 (-0.0100) N/A 4.4800 4.0300
A (CAD Hgd)-MD-1 Shares CAD 4.560 4.5800 (-0.0200) N/A 4.8000 4.3100
A (EUR Hgd)-AD Shares EUR 5.670 5.6900 (-0.0200) N/A 5.9800 5.2500
A (EUR Hgd)-Acc Shares EUR 10.840 10.8800 (-0.0400) N/A 11.2000 9.8300
A (EUR)-AD Shares EUR 8.650 8.6700 (-0.0200) N/A 9.3700 8.0500
A (HKD)-QD Shares HKD 91.950 92.2500 (-0.3000) N/A 94.5800 84.3300
A (NZD Hgd)-MD-1 Shares NZD 4.410 4.4300 (-0.0200) N/A 4.6300 4.1400
A (RMB Hgd)-MD Shares CNH 81.090 81.0700 (0.0200) N/A 81.7700 73.4900
A (USD)-Acc Shares USD 23.180 23.2500 (-0.0700) N/A 23.7000 20.6600
A (USD)-MD Shares USD 7.550 7.5800 (-0.0300) N/A 7.7600 6.8600
A (USD)-QD Shares USD 11.790 11.8200 (-0.0300) N/A 12.1300 10.7200
A-FixMD Shares USD 7.720 7.7500 (-0.0300) N/A 7.9800 7.0400
C (EUR Hgd)-Acc Shares EUR 15.280 15.3300 (-0.0500) N/A 15.7400 13.7900
C (USD)-Acc Shares USD 25.630 25.7100 (-0.0800) N/A 26.1500 22.7400
C-MD Shares USD 8.480 8.5000 (-0.0200) N/A 8.7100 7.7000
E-Acc Shares EUR 16.090 16.1300 (-0.0400) N/A 17.0900 14.7500
I (HKD)-MD1 Shares HKD 81.830 81.8000 (0.0300) N/A 82.4100 74.0100
I (RMB Hgd)-MD1 Shares CNH 76.430 76.4100 (0.0200) N/A 78.5400 70.1600
I-MD1 Shares USD 8.330 8.3600 (-0.0300) N/A 8.6300 7.6500
R-Acc Shares USD 9.890 9.9200 (-0.0300) N/A 10.1500 8.8700
S (EUR Hgd)-Acc Shares EUR 8.140 8.1600 (-0.0200) N/A 8.3700 7.3200
S-Acc Shares USD 9.730 9.7600 (-0.0300) N/A 9.9200 8.6000
Z (EUR Hgd)-Acc Shares EUR 8.890 8.9200 (-0.0300) N/A 9.1500 8.0100
A (CZK Hgd)-Acc Shares CZK 284.480 285.3500 (-0.8700) N/A 292.9000 256.3000
A (HKD)-MD Shares HKD 70.230 70.4500 (-0.2200) N/A 72.1100 64.2600
A (HKD)-MD1 Shares HKD 66.270 66.4800 (-0.2100) N/A 69.1500 62.3400
A (USD)-MD-1 Shares USD 5.350 5.3700 (-0.0200) N/A 5.5900 4.9900
Z-Acc Shares USD 9.440 9.4700 (-0.0300) N/A 9.6300 8.3600

Invesco
Asia Consumer Demand Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc Shares CHF 9.700 9.7000 (0.0000) N/A 10.1900 8.2300
A (EUR Hgd)-AD Shares EUR 9.460 9.4500 (0.0100) N/A 9.9800 7.9400
A (EUR Hgd)-Acc Shares EUR 10.010 10.0000 (0.0100) N/A 10.4500 8.3200
A (EUR)-AD Shares EUR 14.490 14.4700 (0.0200) N/A 15.8900 12.2300
A (HKD)-Acc Shares HKD 68.510 68.4500 (0.0600) N/A 71.5100 56.4000
A (USD)-Acc Shares USD 17.540 17.5200 (0.0200) N/A 18.3100 14.3200
C (EUR Hgd)-Acc Shares EUR 11.200 11.1900 (0.0100) N/A 11.6900 9.2600
C (USD)-Acc Shares USD 19.430 19.4100 (0.0200) N/A 20.2700 15.7800
E (EUR)-Acc Shares EUR 14.180 14.1600 (0.0200) N/A 15.4100 11.9300
I-Acc Shares USD 11.830 11.8200 (0.0100) N/A 12.3400 9.4900
R-Acc Shares USD 12.260 12.2500 (0.0100) N/A 12.8000 10.0700
S-Acc Shares USD 11.350 11.3400 (0.0100) N/A 11.8400 9.1700
Z (GBP)-Acc Shares GBP 11.200 11.2000 (0.0000) N/A 11.9600 9.4500
Z-Acc Shares USD 15.430 15.4100 (0.0200) N/A 16.0900 12.5000
A (SGD Hgd)-Acc Shares SGD 8.280 8.2800 (0.0000) N/A 8.6500 6.9000
A (USD)-SD Shares USD 16.570 16.5600 (0.0100) N/A 17.2900 13.6800
Z (EUR Hgd)-Acc Shares EUR 8.220 8.2100 (0.0100) N/A 8.5800 6.7800
Z (EUR)-Acc Shares EUR 18.960 18.9300 (0.0300) N/A 20.5900 15.7300

Invesco
Asia Opportunities Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 6.460 6.4700 (-0.0100) N/A 6.8100 5.7500
A (NZD Hgd)-MD1 Shares NZD 6.810 6.8200 (-0.0100) N/A 7.1900 6.0400
A (USD)-Acc Shares USD 148.190 148.4600 (-0.2700) N/A 154.8800 125.0500
A-SD Shares USD 9.720 9.7400 (-0.0200) N/A 10.1600 8.2800
C (EUR Hgd)-Acc Shares EUR 8.860 8.8800 (-0.0200) N/A 9.2600 7.5700
C-Acc Shares USD 171.180 171.4900 (-0.3100) N/A 178.8400 143.6700
E (EUR)-Acc Shares EUR 113.000 113.1700 (-0.1700) N/A 123.0000 98.2700
I (GBP)-Gross-MD Shares GBP 11.280 11.3200 (-0.0400) N/A 12.0600 9.9600
R-Acc Shares USD 13.150 13.1700 (-0.0200) N/A 13.7400 11.1600
S-Acc Shares USD 12.600 12.6200 (-0.0200) N/A 13.1600 10.5300
Z (EUR Hgd)-Acc Shares EUR 9.020 9.0400 (-0.0200) N/A 9.4300 7.6900
Z (EUR)-Acc Shares EUR 12.200 12.2200 (-0.0200) N/A 13.2700 10.4600
Z-AD Shares USD 10.110 10.1300 (-0.0200) N/A 10.7300 8.6000
Z-Acc Shares USD 13.060 13.0900 (-0.0300) N/A 13.6400 10.9400
A (CHF Hgd)-Acc. Shares CHF 8.080 8.0900 (-0.0100) N/A 8.4900 7.0700
A (EUR Hgd)-Acc Shares EUR 8.480 8.4900 (-0.0100) N/A 8.8700 7.2900
B (USD)-Acc Shares USD 116.660 116.8800 (-0.2200) N/A 121.9800 99.2400
I-Acc Shares USD 12.260 12.2900 (-0.0300) N/A 12.8000 10.1700

Invesco
Asian Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 14.830 14.7800 (0.0500) N/A 15.8600 13.0100
A (EUR Hgd)-AD Shares EUR 13.300 13.2500 (0.0500) N/A 14.1800 11.5200
A (EUR Hgd)-Acc Shares EUR 8.550 8.5100 (0.0400) N/A 9.0400 7.3500
A (EUR)-AD Shares EUR 20.870 20.7700 (0.1000) N/A 22.2600 18.0000
A (SGD Hgd)-MD1 Shares SGD 10.800 10.7600 (0.0400) N/A 11.6000 9.6800
A-AD Shares USD 11.990 11.9400 (0.0500) N/A 12.6100 10.1800
A-Acc Shares USD 13.180 13.1200 (0.0600) N/A 13.7700 11.1100
C (CHF Hgd)-Acc Shares CHF 15.880 15.8200 (0.0600) N/A 16.9300 13.8600
C-AD Shares USD 12.630 12.5700 (0.0600) N/A 13.3300 10.7200
C-Acc Shares USD 22.820 22.7200 (0.1000) N/A 23.7900 19.1400
E (EUR)-Acc Shares EUR 10.230 10.1900 (0.0400) N/A 10.8500 8.8100
I-Acc Shares USD 11.800 11.7500 (0.0500) N/A 12.2300 9.7800
R-Acc Shares USD 13.730 13.6700 (0.0600) N/A 14.3900 11.6500
S (EUR)-Acc Shares EUR 11.380 11.3300 (0.0500) N/A 12.0500 9.6900
S (GBP)-Acc Shares GBP 10.530 10.4900 (0.0400) N/A 10.9600 9.1300
S (GBP)-Gross-AD Shares GBP 10.420 10.3900 (0.0300) N/A 10.9600 9.1300
S-AD Shares USD 12.750 12.7000 (0.0500) N/A 13.4900 10.8300
TI1-AD Shares USD 10.430 10.3800 (0.0500) N/A 11.0400 8.8600
Z-AD Shares USD 20.660 20.5700 (0.0900) N/A 21.8300 17.5400
A (EUR)-Acc Shares EUR 10.420 10.3700 (0.0500) N/A 11.0400 8.9300
A (HKD)-MD1 Shares HKD 103.070 102.6400 (0.4300) N/A 109.4500 90.8600
A-MD1 Shares USD 10.390 10.3400 (0.0500) N/A 11.0300 9.0800
I (EUR)-Acc Shares EUR 11.380 11.3300 (0.0500) N/A 12.0400 9.6400
S-Acc Shares USD 18.380 18.3000 (0.0800) N/A 19.1200 15.3500
TI1-Acc Shares USD 11.100 11.0500 (0.0500) N/A 11.5400 9.2600
Z (CHF Hgd)-Acc Shares CHF 10.090 10.0900 (0.0000) N/A 10.4600 8.7300
Z (EUR Hgd)-Acc Shares EUR 8.850 8.8100 (0.0400) N/A 9.3300 7.5500
Z (EUR)-Acc Shares EUR 28.740 28.6000 (0.1400) N/A 30.4300 24.5000
Z-Acc Shares USD 15.430 15.3700 (0.0600) N/A 16.0700 12.9200

Invesco
Asian Flexible Bond Fund

Data as at 07/12/2022 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 5.350 5.3511 (-0.0014) N/A 7.3108 4.8173
A (HKD)-MD Shares HKD 62.659 62.8445 (-0.1858) N/A 63.5401 61.7596
A (HKD)-MD1 Shares HKD 98.575 98.8680 (-0.2932) N/A 101.4061 97.6830
A (USD)-Acc Shares USD 13.090 13.1268 (-0.0370) N/A 13.1565 12.1900
C-Acc Shares USD 13.625 13.6630 (-0.0382) N/A 13.6931 12.6540
E-Acc Shares EUR 14.897 14.9339 (-0.0367) N/A 15.6528 13.9724
Z-Acc Shares USD 10.699 10.7286 (-0.0300) N/A 10.7518 9.9147
A (EUR Hgd)-Acc Shares EUR 8.531 8.5564 (-0.0251) N/A 8.5785 8.0794
A (EUR)-AD Shares EUR 6.953 6.9704 (-0.0170) N/A 7.7462 6.8919
A (USD)-MD Shares USD 6.277 6.2943 (-0.0178) N/A 6.3669 6.1516
A-MD1 Shares USD 9.906 9.9341 (-0.0281) N/A 10.1938 9.7959
R-MD Shares USD 6.140 6.1575 (-0.0175) N/A 6.2261 6.0189
S (RMB Hgd)-Acc Shares CNH 106.526 106.5647 (-0.0383) N/A 127.9589 94.9918
Z (EUR Hgd)-Acc Shares EUR 8.728 8.7539 (-0.0256) N/A 8.7753 8.2187

Invesco
Asian Investment Grade Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-AD Shares EUR 9.524 9.5404 (-0.0167) N/A 10.3775 9.3647
A (RMB Hgd)-MD1 Shares CNH 82.955 82.8512 (0.1037) N/A 99.7254 78.8142
A-Acc Shares USD 12.155 12.1815 (-0.0260) N/A 12.2049 11.4082
A-MD1 Shares USD 8.451 8.4395 (0.0117) N/A 9.9460 7.9854
E (EUR)-Acc Shares EUR 13.470 13.4934 (-0.0237) N/A 14.1633 12.8153
R-Acc Shares USD 11.108 11.1318 (-0.0239) N/A 11.1547 10.4891
A (HKD)-MD1 Shares HKD 84.886 84.6383 (0.2474) N/A 99.9735 80.8305
C-Acc Shares USD 12.818 12.8452 (-0.0273) N/A 12.8690 11.9932

Invesco
Balanced-Risk Allocation 12% Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 9.480 9.4900 (-0.0100) N/A 10.1100 9.2100
A (GBP Hgd)-Acc Shares GBP 10.630 10.6400 (-0.0100) N/A 11.1500 10.1000
A (USD Hgd)-Acc Shares USD 12.230 12.2300 (0.0000) N/A 12.8300 11.5900
A-AD Shares EUR 9.260 9.2700 (-0.0100) N/A 9.8100 8.9000
A-Acc Shares EUR 10.300 10.3100 (-0.0100) N/A 10.8800 9.8700
C (GBP Hgd)-Acc Shares GBP 9.600 9.6100 (-0.0100) N/A 10.0600 9.0900
C (USD Hgd)-Acc Shares USD 10.990 11.0000 (-0.0100) N/A 11.5300 10.3800
C-Acc Shares EUR 10.910 10.9200 (-0.0100) N/A 11.4900 10.4200
E-Acc Shares EUR 8.900 8.9000 (0.0000) N/A 9.4100 8.5500
PI1 (CHF Hgd)-Acc Shares CHF 10.260 10.2700 (-0.0100) N/A 10.9100 9.9100
PI1 (GBP Hgd)-Acc Shares GBP 10.850 10.8600 (-0.0100) N/A 11.3600 10.2200
PI1 (JPY Hgd)-Acc Shares JPY 10053.000 10063.0000 (-10.0000) N/A 10742.0000 9781.0000
PI1 (USD Hgd)-Acc Shares USD 10.900 10.9100 (-0.0100) N/A 11.4400 10.2600
S-Acc Shares EUR 8.960 8.9600 (0.0000) N/A 9.4100 8.5300
Z (SGD Hgd)-Acc Shares SGD 10.500 10.5100 (-0.0100) N/A 11.0600 10.0400
Z-Acc Shares EUR 11.070 11.0800 (-0.0100) N/A 11.6400 10.5500
PI1-Acc Shares EUR 10.620 10.6300 (-0.0100) N/A 11.1500 10.1000
R-Acc Shares EUR 9.650 9.6600 (-0.0100) N/A 10.2200 9.2800
Z (CHF Hgd)-Acc Shares CHF 8.210 8.2200 (-0.0100) N/A 8.7500 7.9500
Z (GBP Hgd)-Acc Shares GBP 9.900 9.9100 (-0.0100) N/A 10.3700 9.3600
Z (HKD Hgd)-Acc Shares HKD 106.830 106.9000 (-0.0700) N/A 112.0400 101.2600
Z (USD Hgd)-Acc Shares USD 10.830 10.8400 (-0.0100) N/A 11.3600 10.2100

Invesco
Balanced-Risk Allocation Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc Shares CHF 11.030 11.0600 (-0.0300) N/A 11.7100 10.9600
A (EUR)-AD Shares EUR 17.290 17.3400 (-0.0500) N/A 18.1700 17.0000
A (GBP Hgd)-Acc Shares GBP 11.590 11.6200 (-0.0300) N/A 12.0700 11.2700
A (SEK Hgd)-Acc Shares SEK 119.910 120.2600 (-0.3500) N/A 125.9500 117.9200
A (USD Hgd)-Acc Shares USD 27.670 27.7500 (-0.0800) N/A 28.8100 26.8600
C (CHF Hgd)-Acc Shares CHF 11.790 11.8200 (-0.0300) N/A 12.4900 11.7000
C (GBP Hgd)-Acc Shares GBP 18.310 18.3600 (-0.0500) N/A 19.0100 17.7400
C (USD Hgd)-Acc Shares USD 30.340 30.4300 (-0.0900) N/A 31.5100 29.3500
C-Acc Shares EUR 19.020 19.0800 (-0.0600) N/A 19.8900 18.5900
PI1 (CHF Hgd)-Acc Shares CHF 10.970 11.0100 (-0.0400) N/A 11.5900 10.8600
PI1 (GBP Hgd)-Acc Shares GBP 12.690 12.7300 (-0.0400) N/A 13.1500 12.2600
PI1 (USD Hgd)-Acc Shares USD 13.890 13.9300 (-0.0400) N/A 14.3900 13.3900
R-Acc Shares EUR 13.040 13.0800 (-0.0400) N/A 13.7200 12.8500
S (SGD Hgd)-Acc Shares SGD 13.290 13.3700 (-0.0800) N/A 15.2100 12.4700
S-Acc Shares EUR 12.870 12.9100 (-0.0400) N/A 13.4400 12.5600
Z (CHF Hgd)-Acc Shares CHF 10.480 10.5100 (-0.0300) N/A 11.0900 10.4000
Z (GBP Hgd)-Acc Shares GBP 14.540 14.5800 (-0.0400) N/A 15.0800 14.0700
Z (HKD Hgd)-Acc Shares HKD 127.480 128.1900 (-0.7100) N/A 128.8500 114.3200
Z (SGD Hgd)-Acc Shares SGD 12.410 12.4800 (-0.0700) N/A 12.5600 11.2200
Z (USD Hgd)-Acc Shares USD 16.100 16.1400 (-0.0400) N/A 16.7100 15.5600
Z-AD Shares EUR 11.060 11.1000 (-0.0400) N/A 11.6800 10.9100
Z-Acc Shares EUR 13.330 13.3700 (-0.0400) N/A 13.9300 13.0200
A (EUR)-Acc Shares EUR 17.320 17.3700 (-0.0500) N/A 18.1600 16.9900
C (JPY Hgd)-Acc Shares JPY 1219.000 1223.0000 (-4.0000) N/A 1297.0000 1212.0000
E-Acc Shares EUR 16.020 16.0700 (-0.0500) N/A 16.8400 15.7600
PI1 (JPY Hgd)-Acc Shares JPY 11050.000 11086.0000 (-36.0000) N/A 11725.0000 10975.0000
PI1-Acc Shares EUR 11.820 11.8600 (-0.0400) N/A 12.3300 11.5100
R (USD Hgd)-Acc Shares USD 11.880 11.9200 (-0.0400) N/A 12.4100 11.5800
S (USD Hgd)-Acc Shares USD 15.030 15.1100 (-0.0800) N/A 15.1700 13.3800

Invesco
Balanced-Risk Select Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CZK Hgd)-Acc Shares CZK 295.480 296.2500 (-0.7700) N/A 306.3900 287.6500
A (USD Hgd)-Acc Shares USD 13.620 13.6600 (-0.0400) N/A 14.0700 13.1800
A-AD Shares EUR 11.350 11.3900 (-0.0400) N/A 11.8100 11.1000
A-Acc Shares EUR 11.350 11.3800 (-0.0300) N/A 11.8100 11.0900
C-Acc Shares EUR 12.160 12.2300 (-0.0700) N/A 12.3200 10.7500
E-Acc Shares EUR 10.630 10.6500 (-0.0200) N/A 11.0700 10.4100
R-Acc Shares EUR 10.550 10.5800 (-0.0300) N/A 11.0100 10.3600
Z-Acc Shares EUR 12.240 12.2700 (-0.0300) N/A 12.6900 11.9100

Invesco
Bond Fund

Data as at 30/08/2023 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
B-SD Shares USD 20.540 20.4300 (0.1100) N/A 22.1900 19.2500
C (EUR Hgd)-Acc Shares EUR 8.830 8.8600 (-0.0300) N/A 9.3400 8.5000
C (GBP)-Acc Shares GBP 25.500 25.6200 (-0.1200) N/A 26.5600 24.8000
C-Acc Shares USD 10.770 10.8100 (-0.0400) N/A 11.2800 10.2000
C-SD Shares USD 23.810 23.8900 (-0.0800) N/A 25.3600 23.2200
S (EUR Hgd)-Acc Shares EUR 8.560 8.5800 (-0.0200) N/A 8.9400 8.0300
S (EUR)-Acc Shares EUR 10.160 10.1900 (-0.0300) N/A 10.6200 9.7600
Z (EUR Hgd)-Acc Shares EUR 8.020 7.9700 (0.0500) N/A 8.6400 7.5600
Z (EUR)-Acc Shares EUR 10.400 10.4300 (-0.0300) N/A 10.8700 10.0000
Z-Acc Shares USD 9.840 9.8700 (-0.0300) N/A 10.3000 9.3100
Z-SD Shares USD 8.370 8.4000 (-0.0300) N/A 8.9200 8.1700
A-MD Shares USD 22.800 22.8800 (-0.0800) N/A 24.2600 21.9900
A-SD Shares USD 22.820 22.9000 (-0.0800) N/A 24.2900 22.2400

Invesco
China A-Share Quality Core Equity Fund

Data as at 26/06/2024 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 7.260 7.3100 (-0.0500) N/A 8.6500 6.3600
A-Acc Shares CNH 79.570 79.8800 (-0.3100) N/A 89.9600 72.3600
C (EUR Hgd)-Acc Shares EUR 7.770 7.8200 (-0.0500) N/A 9.0100 6.7400
C (EUR)-Acc Shares EUR 8.210 8.2400 (-0.0300) N/A 9.4700 7.1200
C (USD Hgd)-Acc Shares USD 8.290 8.3200 (-0.0300) N/A 9.2600 7.4100
E (EUR Hgd)-Acc Shares EUR 7.060 7.0900 (-0.0300) N/A 8.0400 6.4500
I (USD Hgd)-Acc Shares USD 8.810 8.8400 (-0.0300) N/A 9.7900 7.8300
I-Acc Shares CNH 82.820 83.1400 (-0.3200) N/A 92.9000 74.6300
R (EUR Hgd)-Acc Shares EUR 7.080 7.1100 (-0.0300) N/A 8.0600 6.4700
S (GBP)-AD Shares GBP 7.870 7.9100 (-0.0400) N/A 9.2000 6.9000
S (GBP)-Acc Shares GBP 7.590 7.6400 (-0.0500) N/A 8.6800 6.9200
Z ( CHF Hgd)-Acc Shares CHF 7.530 7.5800 (-0.0500) N/A 8.9000 6.5800
Z ( EUR Hgd)-Acc Shares EUR 7.850 7.9000 (-0.0500) N/A 9.0900 6.8000
A (EUR Hgd)-Acc Shares EUR 7.340 7.3600 (-0.0200) N/A 8.3200 6.6700
A (USD Hgd)-Acc Shares USD 8.040 8.0700 (-0.0300) N/A 9.0200 7.2200
I (EUR Hgd)-Acc Shares EUR 8.520 8.5700 (-0.0500) N/A 9.7500 7.3500
Z (USD Hgd)-Acc Shares USD 8.460 8.5100 (-0.0500) N/A 9.6300 7.3100

Invesco
China Focus Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
C-Acc Shares USD 24.070 24.1800 (-0.1100) N/A 24.9600 18.0200
S-Acc Shares USD 10.540 10.5800 (-0.0400) N/A 10.9300 7.8500
Z (EUR)-AD Shares EUR 10.030 10.0800 (-0.0500) N/A 10.9400 7.7500
Z (GBP)-Acc Shares GBP 10.250 10.3100 (-0.0600) N/A 10.7500 7.8700
Z-Acc Shares USD 10.220 10.2700 (-0.0500) N/A 10.6000 7.6300
A (USD)-Acc Shares USD 22.260 22.3600 (-0.1000) N/A 23.0900 16.7600
E-Acc Shares EUR 24.820 24.9200 (-0.1000) N/A 26.5000 19.0200
I-Acc Shares USD 15.980 16.0500 (-0.0700) N/A 16.5700 11.8100
R-Acc Shares USD 20.280 20.3700 (-0.0900) N/A 21.0300 15.3600

Invesco
China Health Care Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 4.250 4.2700 (-0.0200) N/A 4.6700 3.4300
A (EUR Hgd)-Acc Shares EUR 4.480 4.5000 (-0.0200) N/A 4.8600 3.5700
A (HKD Hgd)-Acc Shares HKD 44.740 44.9800 (-0.2400) N/A 48.0500 35.2900
A (USD Hgd)-Acc Shares USD 5.180 5.2000 (-0.0200) N/A 5.5400 4.0700
A (USD)-Acc Shares USD 4.220 4.2500 (-0.0300) N/A 4.6800 3.4600
C (SGD Hgd)-Acc Shares SGD 4.990 5.0100 (-0.0200) N/A 5.3900 3.9700
C (USD Hgd)-Acc Shares USD 5.320 5.3500 (-0.0300) N/A 5.6800 4.1700
E (EUR)-Acc Shares EUR 4.290 4.3200 (-0.0300) N/A 4.7400 3.4600
P1 (SGD Hgd)-Acc Shares SGD 5.070 5.0900 (-0.0200) N/A 5.4700 4.0300
P1 (USD Hgd)-Acc Shares USD 5.390 5.4100 (-0.0200) N/A 5.7400 4.2100
R (EUR)-Acc Shares EUR 4.300 4.3300 (-0.0300) N/A 4.7500 3.4600
Z (EUR Hgd)-AD Shares EUR 4.630 4.6500 (-0.0200) N/A 5.0200 3.6900
Z (EUR Hgd)-Acc Shares EUR 4.640 4.6700 (-0.0300) N/A 5.0200 3.6900
Z (SGD Hgd)-Acc Shares SGD 5.050 5.0700 (-0.0200) N/A 5.4500 4.0100
Z (USD Hgd)-Acc Shares USD 5.360 5.3900 (-0.0300) N/A 5.7200 4.2000
Z-Acc Shares CNH 52.170 52.4400 (-0.2700) N/A 56.2100 41.4200
A (SGD Hgd)-Acc Shares SGD 4.870 4.8900 (-0.0200) N/A 5.2800 3.8900
A-Acc Shares CNH 50.310 50.5700 (-0.2600) N/A 54.4000 40.1000
C-Acc Shares CNH 51.610 51.8900 (-0.2800) N/A 55.6800 41.0300
P1-Acc Shares CNH 52.390 52.6600 (-0.2700) N/A 56.4300 41.5700
Z (CHF Hgd)-Acc Shares CHF 4.390 4.4100 (-0.0200) N/A 4.8100 3.5300
Z (USD)-Acc Shares USD 4.370 4.4000 (-0.0300) N/A 4.8300 3.5700

Invesco
China New Perspective Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-Acc Shares AUD 9.640 9.6600 (-0.0200) N/A 9.9400 7.2100
A (EUR Hgd)-Acc Shares EUR 31.180 31.2600 (-0.0800) N/A 32.4500 23.4200
A (NZD Hgd)-Acc Shares NZD 10.450 10.4800 (-0.0300) N/A 10.8200 7.8300
A-AD Shares USD 56.140 56.2700 (-0.1300) N/A 57.8400 41.6100
B-AD Shares USD 46.130 46.2400 (-0.1100) N/A 47.3800 34.1000
C (EUR Hgd)-Acc Shares EUR 36.610 36.7000 (-0.0900) N/A 37.9800 27.4000
C (HKD)-Acc Shares HKD 517.090 518.4200 (-1.3300) N/A 529.6800 380.9500
S-Acc Shares USD 9.040 9.0700 (-0.0300) N/A 9.2600 6.6200
Z-AD Shares USD 11.890 11.9200 (-0.0300) N/A 12.3100 8.8500
A (CAD Hgd)-Acc Shares CAD 9.630 9.6500 (-0.0200) N/A 9.9600 7.1800
A (CHF Hgd)-Acc. Shares CHF 7.960 7.9800 (-0.0200) N/A 8.3600 6.0400
A (HKD)-Acc Shares HKD 439.800 440.9300 (-1.1300) N/A 450.5500 324.9800
C-AD Shares USD 62.940 63.1000 (-0.1600) N/A 65.0200 46.7600

Invesco
Continental European Small Cap Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (USD Hgd)-Acc Shares USD 29.600 29.7200 (-0.1200) N/A 30.6600 25.3000
A (USD)-AD Shares USD 388.620 390.3900 (-1.7700) N/A 398.5800 335.2100
A-AD Shares EUR 18.700 18.7700 (-0.0700) N/A 19.5300 16.3800
C (USD)-AD Shares USD 441.560 443.5600 (-2.0000) N/A 453.9400 380.9200
C-Acc Shares EUR 19.920 20.0100 (-0.0900) N/A 20.6500 17.2400
S-Acc Shares EUR 15.950 16.0200 (-0.0700) N/A 16.5300 13.7300
Z-Acc Shares EUR 15.670 15.7400 (-0.0700) N/A 16.2400 13.5300
A-Acc Shares EUR 12.280 12.3300 (-0.0500) N/A 12.7300 10.6900
C (USD Hgd)-Acc Shares USD 31.210 31.3400 (-0.1300) N/A 32.3200 26.5500
Z-AD Shares EUR 27.810 27.9300 (-0.1200) N/A 29.2400 24.3500

Invesco
Developed Small and Mid-Cap Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 22.330 22.3300 (0.0000) N/A 25.0000 21.3000
A (USD)-Acc Shares USD 95.770 95.7400 (0.0300) N/A 106.5600 89.8700
C-Acc Shares USD 116.580 116.5400 (0.0400) N/A 129.4700 108.6700
E-Acc Shares EUR 32.700 32.6800 (0.0200) N/A 37.7400 31.5300
R-Acc Shares USD 77.030 77.0100 (0.0200) N/A 85.8700 72.7400
S-Acc Shares USD 14.170 14.1600 (0.0100) N/A 15.7200 13.1700
Z (EUR Hgd)-Acc Shares EUR 10.950 10.9400 (0.0100) N/A 12.2200 10.3600
Z-Acc Shares USD 21.850 21.8400 (0.0100) N/A 24.2500 20.3400
A (USD)-SD Shares USD 94.940 94.9100 (0.0300) N/A 105.6500 89.1000

Invesco
Developing Initiatives Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 8.614 8.6328 (-0.0188) N/A 8.7430 8.3051
A (EUR Hgd)-AD Shares EUR 6.348 6.3611 (-0.0134) N/A 6.7310 6.3192
A (EUR Hgd)-MD Shares EUR 6.586 6.5995 (-0.0139) N/A 6.7672 6.4572
A (SEK Hgd)-Acc Shares SEK 90.049 90.2355 (-0.1865) N/A 90.6429 85.2190
A-AD Shares USD 7.043 7.0573 (-0.0140) N/A 7.4196 6.8846
A-Acc Shares USD 10.466 10.4874 (-0.0209) N/A 10.5047 9.7167
A-FixMD Shares USD 7.454 7.4688 (-0.0149) N/A 7.6211 7.2696
C (EUR Hgd)-Acc Shares EUR 9.494 9.5138 (-0.0200) N/A 9.5317 8.9146
C (EUR)-Acc Shares EUR 11.335 11.3530 (-0.0182) N/A 11.8870 10.5562
E-Acc Shares USD 9.041 9.0589 (-0.0182) N/A 9.0748 8.4314
R (EUR Hgd)-Acc Shares EUR 8.797 8.8154 (-0.0187) N/A 8.8642 8.3474
R-FixMD Shares USD 7.455 7.4701 (-0.0150) N/A 7.6185 7.2712
S (EUR Hgd)-Acc Shares EUR 8.233 8.2497 (-0.0171) N/A 8.2650 7.7159
S-Acc Shares USD 10.546 10.5667 (-0.0208) N/A 10.5826 9.7267
Z (CHF Hgd)-Acc Shares CHF 8.808 8.8143 (-0.0062) N/A 8.8326 8.0959
Z (EUR Hgd)-Acc Shares EUR 9.565 9.5847 (-0.0200) N/A 9.6025 8.9693
Z (EUR)-Acc Shares EUR 10.471 10.4875 (-0.0167) N/A 10.9802 9.7362
Z (GBP Hgd)-Acc Shares GBP 9.735 9.7542 (-0.0190) N/A 9.7695 9.0124
Z-Acc Shares USD 10.908 10.9292 (-0.0216) N/A 10.9458 10.0705
Z-Gross-QD Shares USD 7.126 7.1397 (-0.0141) N/A 7.3277 7.0118
A (EUR Hgd)-Acc Shares EUR 9.195 9.2140 (-0.0194) N/A 9.2391 8.6741
A (EUR)-Acc Shares EUR 9.409 9.4244 (-0.0152) N/A 9.8690 8.8043
C -Acc Shares USD 10.815 10.8367 (-0.0214) N/A 10.8535 9.9953
E (EUR Hgd)-Acc Shares EUR 8.906 8.9254 (-0.0189) N/A 8.9676 8.4370

Invesco
Developing Markets Equity Fund

Data as at 26/06/2024 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 8.460 8.4700 (-0.0100) N/A 9.0100 7.6700
A (EUR Hgd)-Acc Shares EUR 8.450 8.4300 (0.0200) N/A 9.1900 7.8800
A-Acc Shares USD 10.220 10.2000 (0.0200) N/A 10.9900 9.5100
C (EUR Hgd)-Acc Shares EUR 9.020 9.0300 (-0.0100) N/A 9.3600 8.0200
C (EUR Hgd)-Gross-AD Shares EUR 8.380 8.3900 (-0.0100) N/A 8.8900 7.6200
C-Acc Shares USD 10.690 10.6600 (0.0300) N/A 11.4600 9.9300
S-Acc Shares USD 10.830 10.8000 (0.0300) N/A 11.5900 10.0500
Z (EUR Hgd)-Gross-AD Shares EUR 8.430 8.4400 (-0.0100) N/A 8.9300 7.6600
Z (EUR)-Acc Shares EUR 10.330 10.3000 (0.0300) N/A 11.1100 9.7100
Z (GBP Hgd)-Acc Shares GBP 9.520 9.5400 (-0.0200) N/A 9.8100 8.3700
Z (GBP)-Acc Shares GBP 9.830 9.8200 (0.0100) N/A 10.4300 9.4100
A (EUR Hgd)-Gross-AD Shares EUR 8.060 8.0700 (-0.0100) N/A 8.6100 7.3700
Z (CHF Hgd)-Acc Shares CHF 8.840 8.8500 (-0.0100) N/A 9.3400 7.9700
Z (EUR Hgd)-Acc Shares EUR 8.890 8.8700 (0.0200) N/A 9.6300 8.2800
Z-Acc Shares USD 10.790 10.7600 (0.0300) N/A 11.5600 10.0200

Invesco
Emerging Market Corporate Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 13.034 13.0518 (-0.0174) N/A 13.0784 12.1943
A (SEK Hgd)-Acc Shares SEK 116.451 116.6033 (-0.1521) N/A 116.8420 109.2412
A (USD)-FixMD Shares USD 7.980 7.9899 (-0.0097) N/A 8.0986 7.7254
A-MD1 Shares USD 7.344 7.3525 (-0.0089) N/A 7.4508 7.1078
C (EUR Hgd)-Acc Shares EUR 14.174 14.1926 (-0.0187) N/A 14.2201 13.1910
C-Acc Shares USD 17.337 17.3575 (-0.0207) N/A 17.3859 15.8904
E (EUR Hgd)-MD Shares EUR 5.859 5.8671 (-0.0079) N/A 5.9907 5.7785
R-FixMD Shares USD 7.992 8.0022 (-0.0098) N/A 8.1080 7.7374
Z (EUR Hgd)-AD Shares EUR 6.320 6.3142 (0.0060) N/A 7.0284 6.1173
Z-Acc Shares USD 12.442 12.4564 (-0.0148) N/A 12.4764 11.3907
A (USD)-Acc Shares USD 15.947 15.9667 (-0.0193) N/A 15.9946 14.6943
C-MD Shares USD 8.001 8.0105 (-0.0095) N/A 8.1194 7.7829
E (EUR Hgd)-Acc Shares EUR 12.178 12.1947 (-0.0163) N/A 12.2208 11.4433
Z (EUR Hgd)-Acc Shares EUR 10.731 10.7447 (-0.0140) N/A 10.7653 9.9756

Invesco
Emerging Market Flexible Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-AD Shares EUR 5.705 5.7108 (-0.0055) N/A 6.2421 5.6418
A (EUR Hgd)-Acc Shares EUR 8.931 8.9399 (-0.0088) N/A 9.1785 8.4808
C-Acc Shares USD 11.296 11.3057 (-0.0096) N/A 11.4715 10.6174
A-Acc Shares USD 10.796 10.8053 (-0.0093) N/A 10.9905 10.1956
R (EUR Hgd)-Acc Shares EUR 8.438 8.4469 (-0.0085) N/A 8.7002 8.0218

Invesco
Emerging Markets Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 5.390 5.4000 (-0.0100) N/A 5.5200 5.2100
A (CAD Hgd)-MD-1 Shares CAD 5.680 5.6800 (0.0000) N/A 5.8300 5.4900
A (CHF Hgd)-Acc. Shares CHF 10.010 10.0200 (-0.0100) N/A 10.1500 9.4700
A (EUR Hgd)-Acc Shares EUR 30.880 30.9200 (-0.0400) N/A 31.0700 28.5500
A (HKD)-MD Shares HKD 73.380 73.4900 (-0.1100) N/A 75.1300 70.7400
A-Acc Shares USD 10.890 10.9000 (-0.0100) N/A 10.9500 9.9300
A-MD1 Shares USD 6.210 6.2200 (-0.0100) N/A 6.3500 5.9600
A-SD Shares USD 15.530 15.5500 (-0.0200) N/A 16.0600 14.9500
C (CHF Hgd)-Acc Shares CHF 10.310 10.3300 (-0.0200) N/A 10.4500 9.7400
C (EUR Hgd)-Acc Shares EUR 32.800 32.8500 (-0.0500) N/A 32.9900 30.2400
C (GBP Hgd)-Acc Shares GBP 9.510 9.5200 (-0.0100) N/A 9.5600 8.6600
C-Acc Shares USD 12.590 12.6000 (-0.0100) N/A 12.6600 11.4200
C-SD Shares USD 15.910 15.9300 (-0.0200) N/A 16.4700 15.3200
Z (EUR)-Acc Shares EUR 10.950 10.9600 (-0.0100) N/A 11.5200 10.0400
A (EUR Hgd)-AD Shares EUR 5.650 5.6600 (-0.0100) N/A 6.0200 5.5400
A (EUR Hgd)-MD Shares EUR 9.520 9.5300 (-0.0100) N/A 9.8000 9.2600
A (SEK Hgd)-Acc Shares SEK 109.420 109.5600 (-0.1400) N/A 110.0900 101.4900
A-FixMD Shares USD 14.740 14.7600 (-0.0200) N/A 15.0400 14.1100
Z (EUR Hgd)-AD Shares EUR 6.030 6.0400 (-0.0100) N/A 6.4600 5.9200
Z (EUR Hgd)-Acc Shares EUR 9.070 9.0800 (-0.0100) N/A 9.1200 8.3500

Invesco
Emerging Markets Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-AD Shares USD 61.930 61.7900 (0.1400) N/A 65.8100 53.9000
C (EUR)-Acc Shares EUR 12.840 12.8000 (0.0400) N/A 13.6700 11.1900
C-AD Shares USD 69.430 69.2800 (0.1500) N/A 74.0100 60.4600
E (EUR)-Acc Shares EUR 10.050 10.0300 (0.0200) N/A 10.7100 9.8900
S (EUR)-Acc Shares EUR 12.950 12.9200 (0.0300) N/A 13.7900 11.2600
S-Acc Shares USD 13.460 13.4300 (0.0300) N/A 14.0100 11.4300
TI1-Acc Shares USD 13.630 13.6000 (0.0300) N/A 14.1600 11.5200
Z-AD Shares USD 17.440 17.4000 (0.0400) N/A 18.6100 15.1900
A-Acc Shares USD 11.790 11.7700 (0.0200) N/A 12.3300 10.0900
C (EUR)-Gross-AD Shares EUR 14.680 14.6400 (0.0400) N/A 16.1600 13.2300
C-Acc Shares USD 10.160 10.1300 (0.0300) N/A 10.5900 8.6500
Z (EUR)-Acc Shares EUR 12.040 12.0100 (0.0300) N/A 12.8200 10.4700

Invesco
Emerging Markets ex-China Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-AD Shares EUR 18.980 18.8600 (0.1200) N/A 21.3400 18.5400
C-AD Shares USD 87.690 87.1500 (0.5400) N/A 98.4900 84.1600
C-Acc Shares USD 16.340 16.2400 (0.1000) N/A 18.0000 15.3800
I (EUR)-Acc Shares EUR 10.170 10.1100 (0.0600) N/A 11.2700 9.7100
S (EUR)-Acc Shares EUR 10.110 10.0400 (0.0700) N/A 11.2000 9.6900
S-Acc Shares USD 10.480 10.4100 (0.0700) N/A 11.5300 9.8400
Z (EUR )-Acc Shares EUR 10.100 10.0300 (0.0700) N/A 11.1900 9.6800
Z (EUR Hgd)-Acc Shares EUR 10.120 10.0600 (0.0600) N/A 11.2400 9.8800
Z-AD Shares USD 18.260 18.1400 (0.1200) N/A 20.5300 17.5300
Z-Acc Shares USD 13.930 13.8400 (0.0900) N/A 15.3200 13.0800
A (EUR Hgd)-Acc Shares EUR 10.050 9.9900 (0.0600) N/A 11.2000 9.8600
A (EUR)-Acc Shares EUR 10.030 9.9600 (0.0700) N/A 11.1200 9.6600
A-AD Shares USD 80.230 79.7400 (0.4900) N/A 89.8100 76.9500
A-Acc Shares USD 10.220 10.1600 (0.0600) N/A 11.2900 9.8900

Invesco
Emerging Markets Local Debt Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 5.912 5.9134 (-0.0017) N/A 6.4273 5.6400
A (CHF Hgd)-Acc. Shares CHF 8.440 8.4444 (-0.0042) N/A 8.9723 7.9965
A (EUR Hgd)-Gross-QD Shares EUR 6.306 6.3088 (-0.0024) N/A 6.9642 6.1170
A (EUR Hgd)-MD Shares EUR 6.868 6.8711 (-0.0027) N/A 7.5220 6.5771
A (EUR)-AD Shares EUR 7.812 7.8111 (0.0009) N/A 8.6579 7.8111
A (HKD)-MD Shares HKD 76.771 76.8009 (-0.0301) N/A 83.3275 73.4232
A-AD Shares USD 7.923 7.9517 (-0.0289) N/A 8.7752 7.7936
A-Acc Shares USD 10.237 10.2400 (-0.0026) N/A 10.6497 9.6265
A-FixMD Shares USD 7.515 7.5171 (-0.0019) N/A 8.0626 7.1413
B (EUR)-Acc Shares EUR 9.678 9.6769 (0.0009) N/A 10.0029 9.3322
C-Acc Shares USD 10.427 10.4291 (-0.0025) N/A 10.8136 9.7494
C-Acc Shares USD 10.127 10.0991 (0.0274) N/A 10.1265 9.8732
E (EUR Hgd)-MD Shares EUR 6.872 6.8753 (-0.0028) N/A 7.5241 6.5812
E (EUR)-Acc Shares EUR 9.849 9.8479 (0.0010) N/A 10.1770 9.4738
I (GBP)-Gross-MD Shares GBP 9.262 9.2765 (-0.0149) N/A 9.9810 9.2445
I-Acc Shares USD 11.081 11.0831 (-0.0023) N/A 11.4573 10.2931
S (EUR)-Acc Shares EUR 10.911 10.9099 (0.0015) N/A 11.2627 10.3939
S (GBP)-Acc Shares GBP 10.121 10.1377 (-0.0165) N/A 10.3456 9.6721
S-Acc Shares USD 10.701 10.7034 (-0.0025) N/A 11.0909 9.9933
S-MD Shares USD 7.980 8.0089 (-0.0289) N/A 8.6988 7.7838
Z (CHF Hgd)-Acc Shares CHF 8.801 8.8055 (-0.0042) N/A 9.3231 8.3283
Z (EUR Hgd)-Acc Shares EUR 9.281 9.2840 (-0.0034) N/A 9.7179 8.7469
A (EUR Hgd)-AD Shares EUR 7.096 7.1224 (-0.0259) N/A 7.9277 6.9964
A (EUR Hgd)-Acc Shares EUR 8.900 8.9037 (-0.0035) N/A 9.3526 8.3986
C (EUR Hgd)-Acc Shares EUR 9.218 9.2218 (-0.0035) N/A 9.6569 8.6864
C (EUR Hgd)-Gross-QD Shares EUR 6.773 6.7974 (-0.0245) N/A 7.6260 6.6948
I-FixMD Shares USD 8.105 8.1064 (-0.0018) N/A 8.6382 7.6839
R-FixMD Shares USD 7.501 7.5030 (-0.0021) N/A 8.0445 7.1273
S (GBP)-Gross-MD Shares GBP 8.570 8.5844 (-0.0139) N/A 9.2952 8.5651
Z (EUR Hgd)-AD Shares EUR 6.815 6.8171 (-0.0025) N/A 7.7407 6.7021
Z (EUR Hgd)-Gross-QD Shares EUR 6.576 6.5782 (-0.0023) N/A 7.2386 6.3699
Z (EUR)-Acc Shares EUR 10.622 10.6209 (0.0015) N/A 10.9648 10.1216
Z (GBP Hgd)-Acc Shares GBP 9.888 9.8899 (-0.0022) N/A 10.2661 9.2632
Z (GBP)-Acc Shares GBP 10.098 10.1140 (-0.0164) N/A 10.3219 9.6524
Z-Acc Shares USD 10.484 10.4863 (-0.0025) N/A 10.8679 9.7941

Invesco
Energy Transition Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 3.450 3.4800 (-0.0300) N/A 3.8900 3.3600
A (HKD)-Acc Shares HKD 28.350 28.6000 (-0.2500) N/A 31.6600 27.6400
A (USD)-AD Shares USD 8.020 8.0900 (-0.0700) N/A 9.0200 7.8600
B (USD)-Acc Shares USD 6.840 6.9000 (-0.0600) N/A 7.6500 6.6600
C (EUR Hgd)-Acc Shares EUR 3.870 3.9000 (-0.0300) N/A 4.3500 3.7700
C-Acc Shares USD 9.570 9.6500 (-0.0800) N/A 10.6500 9.2900
R-Acc Shares USD 2.450 2.4700 (-0.0200) N/A 2.7400 2.3800
Z-Acc Shares USD 5.360 5.4000 (-0.0400) N/A 5.9600 5.2000
A (USD)-Acc Shares USD 8.500 8.5800 (-0.0800) N/A 9.4900 8.2700
E-Acc Shares EUR 6.570 6.6300 (-0.0600) N/A 7.2300 6.4000
Z (EUR Hgd)-Acc Shares EUR 4.370 4.4100 (-0.0400) N/A 4.9200 4.2600

Invesco
Environmental Climate Opportunities Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 9.171 9.2094 (-0.0380) N/A 9.4392 8.9274
A (CHF Hgd)-Acc. Shares CHF 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
A (EUR Hgd)-Acc Shares EUR 10.209 10.2515 (-0.0422) N/A 10.3713 9.7091
A (USD)-Acc Shares USD 10.179 10.2198 (-0.0411) 1.67 10.2747 9.5323
A (USD)-SD Shares USD 5.595 5.6172 (-0.0225) 2.17 5.7542 5.4183
C (EUR Hgd)-Acc Shares EUR 10.572 10.6153 (-0.0436) N/A 10.7265 10.0240
E (EUR)-Acc Shares EUR 8.842 8.8742 (-0.0323) 1.37 9.3401 8.4076
R-Acc Shares USD 11.286 11.3315 (-0.0458) N/A 11.4073 10.6341
S (GBP Hgd)-SD Shares GBP 9.545 9.5491 (-0.0044) N/A 9.6785 8.7126
S-Acc Shares USD 10.431 10.4727 (-0.0420) N/A 10.5279 9.7249
Z (CHF Hgd)-Acc Shares CHF 9.267 9.3052 (-0.0384) N/A 9.5213 8.9930
Z (CHF Hgd)-Acc Shares CHF 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
Z (EUR Hgd)-Acc Shares EUR 10.244 10.2864 (-0.0423) N/A 10.3882 9.7107
Z (GBP Hgd)-Acc Shares GBP 10.563 10.6053 (-0.0420) N/A 10.6597 9.8864
Z (GBP Hgd)-SD Shares GBP 9.561 9.5993 (-0.0381) N/A 9.8587 9.2822
Z-Acc Shares USD 11.913 11.9611 (-0.0479) N/A 12.0245 11.1206
C (USD)-Acc Shares USD 11.295 11.3402 (-0.0455) 1.61 11.4006 10.5542
E (EUR Hgd)-Acc Shares EUR 10.014 10.0550 (-0.0414) N/A 10.1798 9.5351
S (GBP Hgd)-Acc Shares GBP 10.195 10.1996 (-0.0047) N/A 10.2059 9.1218
Z-SD Shares USD 9.999 10.0397 (-0.0402) N/A 10.3015 9.6882

Invesco
Euro Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-Acc Shares EUR 7.273 7.2899 (-0.0170) 2.00 7.5031 7.0644
A (EUR)-SD Shares EUR 5.505 5.5184 (-0.0129) 2.64 5.7409 5.4623
B (EUR)-Acc Shares EUR 5.591 5.6048 (-0.0133) 2.32 5.7836 5.4714
C (CHF Hgd)-Acc Shares CHF 11.581 11.6094 (-0.0289) N/A 12.0339 11.4633
C (GBP Hgd)-Acc Shares GBP 9.731 9.7233 (0.0075) N/A 11.4064 9.0244
C-Acc Shares EUR 7.820 7.8383 (-0.0183) 1.91 8.0601 7.5736
E-Acc Shares EUR 7.011 7.0278 (-0.0165) 2.04 7.2362 6.8180
I-SD Shares EUR 8.744 8.7628 (-0.0191) N/A 8.9268 8.1675
Z (CHF Hgd)-Acc Shares CHF 9.323 9.3467 (-0.0233) N/A 9.6846 9.2143
Z-Acc Shares EUR 10.080 10.1033 (-0.0236) N/A 10.3858 9.7518
A (CHF Hgd)-Acc. Shares CHF 11.241 11.2324 (0.0084) N/A 13.4128 10.4504
R-Acc Shares EUR 9.578 9.6008 (-0.0227) N/A 9.8997 9.3526
Z (GBP Hgd)-Acc Shares GBP 10.360 10.3832 (-0.0229) N/A 10.6317 9.9037
Z-AD Shares EUR 10.542 10.5662 (-0.0246) N/A 11.1450 10.4648

Invesco
Euro Corporate Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-Acc Shares EUR 18.706 18.7574 (-0.0512) 2.66 19.0735 18.0355
A (EUR)-MD Shares EUR 11.865 11.8977 (-0.0325) 3.63 12.1779 11.7057
B-Acc Shares EUR 10.102 10.1298 (-0.0279) N/A 10.3190 9.8020
C (CHF Hgd)-Acc Shares CHF 11.236 11.2692 (-0.0329) N/A 11.5354 11.0642
C (USD Hgd)-Acc Shares USD 13.211 13.2458 (-0.0346) N/A 13.4551 12.5277
E-Acc Shares EUR 17.865 17.9138 (-0.0491) 2.76 18.2268 17.2617
I-MD Shares EUR 9.138 9.1625 (-0.0247) N/A 9.3786 9.0146
R-Acc Shares EUR 12.724 12.7593 (-0.0352) N/A 12.9967 12.3433
R-MD Shares EUR 10.646 10.6757 (-0.0294) N/A 10.9269 10.5035
S-Acc Shares EUR 11.202 11.2324 (-0.0305) N/A 11.4080 10.7352
Z-Acc Shares EUR 12.668 12.7024 (-0.0345) N/A 12.9017 12.1600
A (CHF Hgd)-Acc Shares CHF 10.798 10.8296 (-0.0314) N/A 11.0925 10.6592
A (EUR)-AD Shares EUR 10.776 10.8055 (-0.0295) N/A 11.2762 10.6626
C (EUR)-Acc Shares EUR 19.959 20.0136 (-0.0545) 2.52 20.3331 19.1845
C-AD Shares EUR 9.273 9.2979 (-0.0254) N/A 9.7282 9.1786
Z-AD Shares EUR 9.796 9.8225 (-0.0267) N/A 10.2895 9.6982

Invesco
Euro Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CZK Hgd)-Acc Shares CZK 482.950 484.6800 (-1.7300) N/A 491.5400 415.3200
A (EUR)-Acc Shares EUR 190.740 191.4500 (-0.7100) N/A 194.1700 164.5800
A (GBP Hgd)-Acc Shares GBP 21.410 21.4800 (-0.0700) N/A 21.7900 18.3100
A (USD)-Acc Shares USD 13.410 13.4600 (-0.0500) N/A 13.5900 11.2700
A-AD Shares EUR 15.050 15.1100 (-0.0600) N/A 15.4700 13.2800
C (CHF Hgd)-Acc Shares CHF 20.100 20.1800 (-0.0800) N/A 20.4800 17.5500
C (GBP Hgd)-Acc Shares GBP 22.580 22.6600 (-0.0800) N/A 22.9900 19.2400
C (USD Hgd)-Acc Shares USD 25.670 25.7600 (-0.0900) N/A 26.1400 21.8000
C-Acc Shares EUR 42.970 43.1300 (-0.1600) N/A 43.7400 36.9500
E-Acc Shares EUR 99.630 100.0000 (-0.3700) N/A 101.4300 86.3500
P1 (CHF Hgd)-Acc Shares CHF 16.000 16.0600 (-0.0600) N/A 16.3000 13.9300
P1 (GBP Hgd)-Acc Shares GBP 15.820 15.8000 (0.0200) N/A 16.4800 13.5900
P1 (USD Hgd)-Acc Shares USD 18.680 18.7500 (-0.0700) N/A 19.0200 15.8200
P1-Acc Shares EUR 16.740 16.8100 (-0.0700) N/A 17.0400 14.3600
R (USD Hgd)-Acc Shares USD 16.560 16.6200 (-0.0600) N/A 16.8700 14.1800
R-Acc Shares EUR 16.420 16.4800 (-0.0600) N/A 16.7100 14.2300
S-AD Shares EUR 13.520 13.5700 (-0.0500) N/A 14.0000 11.9600
TI1-AD Shares EUR 12.350 12.3900 (-0.0400) N/A 12.8000 10.9300
TI1-Acc Shares EUR 13.520 13.5700 (-0.0500) N/A 13.7600 11.5900
Z (CHF Hgd)-Acc Shares CHF 13.760 13.7400 (0.0200) N/A 14.4000 12.1800
Z-Acc Shares EUR 18.820 18.8900 (-0.0700) N/A 19.1500 16.1600
Z-Gross-AD Shares EUR 12.110 12.1500 (-0.0400) N/A 12.6400 10.8000
A (CHF Hgd)-Acc. Shares CHF 16.370 16.4300 (-0.0600) N/A 16.6800 14.3400
A (USD Hgd)-Acc Shares USD 24.310 24.4000 (-0.0900) N/A 24.7500 20.7200
C-Gross-AD Shares EUR 13.660 13.7100 (-0.0500) N/A 14.2600 12.2000
I-Acc Shares EUR 12.370 12.4200 (-0.0500) N/A 12.5900 10.5700
PI1 (CHF Hgd)-Acc Shares CHF 14.020 13.9700 (0.0500) N/A 14.1300 10.5000
PI1 (USD Hgd)-Acc Shares USD 18.740 18.8000 (-0.0600) N/A 19.0700 15.8600
PI1-Acc Shares EUR 16.840 16.9000 (-0.0600) N/A 17.1400 14.4300
S-Acc Shares EUR 19.000 19.0700 (-0.0700) N/A 19.3400 16.3100
Z (USD Hgd)-Acc Shares USD 18.360 18.4300 (-0.0700) N/A 18.7000 15.5800
Z (USD)-Acc Shares USD 14.530 14.5900 (-0.0600) N/A 14.7200 12.1900

Invesco
Euro Short Term Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-Acc Shares EUR 11.373 11.3772 (-0.0037) N/A 11.4264 10.9814
B-Acc Shares EUR 9.575 9.5777 (-0.0032) N/A 9.6204 9.2796
E-Acc Shares EUR 11.063 11.0662 (-0.0036) N/A 11.1147 10.6998
R-Acc Shares EUR 10.462 10.4659 (-0.0036) N/A 10.5124 10.1395
S-AD Shares EUR 9.887 9.8899 (-0.0032) N/A 10.1267 9.7036
S-Acc Shares EUR 10.658 10.6611 (-0.0034) N/A 10.7058 10.2530
Z-AD Shares EUR 9.886 9.8892 (-0.0031) N/A 10.1257 9.7024
A-AD Shares EUR 9.841 9.8445 (-0.0032) N/A 10.0465 9.6551
C-AD Shares EUR 9.783 9.7878 (-0.0051) N/A 9.8219 9.4207
C-Acc Shares EUR 11.856 11.8601 (-0.0038) N/A 11.9105 11.4228
Z (GBP Hgd)-Acc Shares GBP 11.091 11.0930 (-0.0020) N/A 11.1347 10.5227
Z-Acc Shares EUR 10.423 10.4261 (-0.0033) N/A 10.4701 10.0329

Invesco
Euro Ultra-Short Term Debt Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-AD Shares EUR 319.629 319.6534 (-0.0240) N/A 328.6123 317.3884
C (EUR)-Acc Shares EUR 350.353 350.3787 (-0.0252) N/A 350.4916 338.0570
E-Acc Shares EUR 329.246 329.2724 (-0.0261) N/A 329.3948 318.3825
I-Gross MD Shares EUR 10.096 10.0963 (-0.0006) N/A 10.1169 10.0208
Z-Acc Shares EUR 10.598 10.5991 (-0.0008) N/A 10.6026 10.2240
A (EUR)-Acc Shares EUR 335.007 335.0325 (-0.0251) N/A 335.1506 323.6255
S-Acc Shares EUR 10.623 10.6239 (-0.0007) N/A 10.6273 10.2441

Invesco
Global Consumer Trends Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CZK Hgd)-Acc Shares CZK 382.710 374.7200 (7.9900) N/A 477.5500 320.9600
A (EUR Hgd)-Acc Shares EUR 11.910 11.6600 (0.2500) N/A 14.8800 10.0300
A (EUR)-AD Shares EUR 17.320 16.9500 (0.3700) N/A 22.6300 14.4100
A (EUR)-Acc Shares EUR 12.390 12.1200 (0.2700) N/A 16.1800 10.3000
A (HKD)-Acc Shares HKD 122.290 119.6900 (2.6000) N/A 153.5000 102.3200
B-Acc Shares USD 52.290 51.1700 (1.1200) N/A 65.6100 43.9100
C (CHF Hgd)-Acc Shares CHF 11.210 10.9800 (0.2300) N/A 14.0200 9.5500
C-Acc Shares USD 77.530 75.8700 (1.6600) N/A 97.2000 64.5700
P1 (CHF Hgd)-Acc Shares CHF 7.900 7.7300 (0.1700) N/A 9.8600 6.6900
P1 (EUR Hgd)-Acc Shares EUR 8.210 8.0400 (0.1700) N/A 10.2500 6.8600
P1 (GBP Hgd)-AD Shares GBP 8.590 8.4000 (0.1900) N/A 10.7100 7.0900
P1 (GBP Hgd)-Acc Shares GBP 8.670 8.4800 (0.1900) N/A 10.8000 7.1500
PI1 (CHF Hgd)-Acc Shares CHF 7.900 7.7400 (0.1600) N/A 9.8700 6.6900
PI1 (EUR Hgd)-Acc Shares EUR 8.210 8.0400 (0.1700) N/A 10.2500 6.8600
PI1 (GBP Hgd)-AD Shares GBP 8.590 8.4100 (0.1800) N/A 10.7100 7.0900
PI1 (GBP Hgd)-Acc Shares GBP 8.670 8.4800 (0.1900) N/A 10.8100 7.1600
PI1-AD Shares USD 9.110 8.9100 (0.2000) N/A 11.4100 7.5500
PI1-Acc Shares USD 9.170 8.9700 (0.2000) N/A 11.4900 7.6000
S (EUR Hgd)-Acc Shares EUR 6.470 6.4200 (0.0500) N/A 6.5800 5.1700
S (EUR)-Acc Shares EUR 7.920 7.7500 (0.1700) N/A 10.3500 6.5500
S-Acc Shares USD 13.160 12.8800 (0.2800) N/A 16.5000 10.9300
Z (AUD Hgd)-Gross-AD Shares AUD 11.220 10.9900 (0.2300) N/A 14.1100 9.4000
Z (CHF-Hgd)-Acc Shares CHF 10.520 10.3000 (0.2200) N/A 13.1500 8.9500
Z (EUR Hgd)-Acc Shares EUR 10.530 10.3100 (0.2200) N/A 13.1500 8.8300
Z (GBP)-Acc Shares GBP 12.350 12.1100 (0.2400) N/A 15.9100 10.4200
Z (NOK)-Acc Shares NOK 83.720 82.5900 (1.1300) N/A 85.8900 69.2400
A (CHF Hgd)-Acc. Shares CHF 10.770 10.5500 (0.2200) N/A 13.4700 9.2100
A (GBP Hgd)-Acc Shares GBP 8.200 8.0200 (0.1800) N/A 10.2300 6.8200
A (SGD Hgd)-Acc Shares SGD 11.040 10.8100 (0.2300) N/A 13.8100 9.3400
A (USD)-Acc Shares USD 68.380 66.9100 (1.4700) N/A 85.7600 57.1200
C (EUR Hgd)-Acc Shares EUR 12.350 12.0900 (0.2600) N/A 15.4200 10.3600
C (EUR)-Acc Shares EUR 15.350 15.0200 (0.3300) N/A 20.0500 12.7300
E (EUR)-Acc Shares EUR 52.160 51.0300 (1.1300) N/A 68.1900 43.5800
I-Acc Shares USD 9.370 9.1700 (0.2000) N/A 11.7400 7.7500
P1-AD Shares USD 9.090 8.9000 (0.1900) N/A 11.3900 7.5400
P1-Acc Shares USD 9.160 8.9600 (0.2000) N/A 11.4700 7.5900
PI1 (EUR Hgd)-AD Shares EUR 8.150 7.9800 (0.1700) N/A 10.1800 6.8100
R-Acc Shares USD 16.800 16.4500 (0.3500) N/A 21.0800 14.1000
S-AD Shares USD 6.730 6.5800 (0.1500) N/A 8.4300 5.5900
Z (EUR)-Acc Shares EUR 14.340 14.0300 (0.3100) N/A 18.7200 11.8700
Z-Acc Shares USD 15.370 15.0400 (0.3300) N/A 19.2600 12.7800

Invesco
Global Equity Income Advantage Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-MD1 Shares EUR 10.060 10.0800 (-0.0200) N/A 10.7400 9.6900
A (HKD)-MD1 Shares HKD 112.680 112.9200 (-0.2400) N/A 119.6800 107.1600
A (SGD Hgd)-MD1 Shares SGD 10.770 10.7900 (-0.0200) N/A 11.4900 10.3700
A-Acc Shares USD 13.600 13.6300 (-0.0300) N/A 14.3200 12.2500
A-MD1 Shares USD 11.400 11.4200 (-0.0200) N/A 12.1000 10.8200
Z (GBP)-Acc Shares GBP 11.840 11.8800 (-0.0400) N/A 12.9100 10.8600
Z (GBP)-MD Shares GBP 10.800 10.8400 (-0.0400) N/A 11.8700 10.3100
Z-Acc Shares USD 13.920 13.9500 (-0.0300) N/A 14.6400 12.4200
A (AUD Hgd)-MD-1 Shares AUD 10.120 10.1400 (-0.0200) N/A 10.7700 9.6800
A (GBP Hgd)-MD1 Shares GBP 10.210 10.2300 (-0.0200) N/A 10.8500 9.7400
A (RMB Hgd)-MD1 Shares CNH 105.760 105.9800 (-0.2200) N/A 112.8200 102.2400
C-Acc Shares USD 13.860 13.8900 (-0.0300) N/A 14.5800 12.3800
I-Acc Shares USD 14.190 14.2200 (-0.0300) N/A 14.9200 12.5700

Invesco
Global Equity Income Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 10.540 10.5700 (-0.0300) N/A 10.9500 9.5500
A (EUR Hgd)-Acc Shares EUR 23.590 23.6700 (-0.0800) N/A 24.2900 20.5500
A (EUR)-AD Shares EUR 22.240 22.3000 (-0.0600) N/A 23.9000 19.5600
A (HKD)-MD1 Shares HKD 111.760 112.1100 (-0.3500) N/A 116.1700 101.4300
A (RMB Hgd)-MD1 Shares CNH 101.970 102.2900 (-0.3200) N/A 105.9300 92.1900
A (USD)-Acc Shares USD 122.850 123.2200 (-0.3700) N/A 126.4500 105.1400
A (USD)-MD-GI Shares USD 15.320 15.3700 (-0.0500) N/A 15.7900 13.3500
A (USD)-SD Shares USD 27.680 27.7700 (-0.0900) N/A 28.4900 23.7800
C (EUR Hgd)-Acc Shares EUR 18.380 18.4300 (-0.0500) N/A 18.9100 15.8900
S (EUR)-Acc Shares EUR 9.610 9.6400 (-0.0300) N/A 10.3100 9.5200
S (GBP)-Gross-QD Shares GBP 9.750 9.7900 (-0.0400) N/A 10.3100 9.5500
S-Acc Shares USD 14.090 14.1400 (-0.0500) N/A 14.5000 11.9600
Z (EUR)-AD Shares EUR 25.240 25.3100 (-0.0700) N/A 27.3000 22.2100
Z-Acc Shares USD 24.710 24.7900 (-0.0800) N/A 25.4300 21.0100
Z-SD Shares USD 20.490 20.5500 (-0.0600) N/A 21.1200 17.5800
A (USD)-MD-1 Shares USD 12.330 12.3600 (-0.0300) N/A 12.8000 11.1000
C (USD)-Acc Shares USD 149.210 149.6500 (-0.4400) N/A 153.5300 126.8800
E-Acc Shares EUR 33.770 33.8600 (-0.0900) N/A 36.2400 29.8300
R-Acc Shares USD 96.040 96.3300 (-0.2900) N/A 98.9000 82.7700

Invesco
Global Flexible Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-AD Shares EUR 8.292 8.3063 (-0.0140) N/A 8.9206 8.2489
A (EUR Hgd)-Acc Shares EUR 10.523 10.5410 (-0.0179) N/A 10.9796 10.1513
A (EUR Hgd)-Gross-QD Shares EUR 7.346 7.3580 (-0.0124) N/A 7.8576 7.3104
C (EUR Hgd)-Acc Shares EUR 9.917 9.9335 (-0.0167) N/A 10.1005 9.7541
C (EUR Hgd)-Gross-AD Shares EUR 7.618 7.6304 (-0.0126) N/A 8.2896 7.6071
C-Acc Shares USD 13.247 13.2676 (-0.0207) N/A 13.6735 12.5390
E (EUR Hgd)-Acc Shares EUR 9.888 9.9047 (-0.0169) N/A 10.0937 9.7381
E-Acc Shares EUR 12.368 12.3826 (-0.0149) N/A 13.1975 11.9338
R (EUR Hgd)-Acc Shares EUR 9.868 9.8850 (-0.0169) N/A 10.3313 9.5773
S (EUR Hgd)-Acc Shares EUR 9.926 9.9425 (-0.0166) N/A 10.1023 9.7578
Z (GBP Hgd)-Acc Shares GBP 10.099 10.1139 (-0.0151) N/A 10.4280 9.5699
Z-Acc Shares USD 13.392 13.4128 (-0.0209) N/A 13.8162 12.6651
A-Acc Shares USD 12.701 12.7212 (-0.0200) N/A 13.1396 12.0699
I (AUD Hgd)-QD Shares AUD 8.677 8.6519 (0.0255) N/A 9.2011 8.3292
I (AUD Hgd)-QD Shares AUD 10.015 0.0000 (10.0151) N/A 10.0151 10.0151
S (GBP Hgd)-Acc Shares GBP 10.136 10.1518 (-0.0156) N/A 10.4593 9.5955
Z (EUR Hgd)-Acc Shares EUR 9.923 9.9395 (-0.0167) N/A 10.1014 9.7559

Invesco
Global Focus Equity Fund

Data as at 26/06/2024 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 14.430 14.3500 (0.0800) N/A 14.7100 10.7000
A (EUR Hgd)-Acc Shares EUR 14.960 14.9200 (0.0400) N/A 16.8600 13.3200
A (EUR Hgd)-Gross-AD Shares EUR 14.720 14.6800 (0.0400) N/A 16.6700 13.1700
A (EUR)-Acc Shares EUR 11.710 11.6700 (0.0400) N/A 13.7600 10.2700
A-AD Shares USD 9.640 9.6100 (0.0300) N/A 10.8800 8.4900
A-Acc Shares USD 17.410 17.3600 (0.0500) N/A 19.6500 15.3400
C (EUR Hgd)-Acc Shares EUR 15.520 15.4200 (0.1000) N/A 15.6800 11.2900
C (EUR Hgd)-Gross-AD Shares EUR 15.360 15.2600 (0.1000) N/A 15.5200 11.2000
C-AD Shares USD 9.890 9.8600 (0.0300) N/A 11.1500 8.6700
C-QD Shares USD 9.890 9.8700 (0.0200) N/A 11.1600 8.6800
E (EUR Hgd)-Acc Shares EUR 8.580 8.5600 (0.0200) N/A 9.6800 7.6700
E (EUR)-Acc Shares EUR 12.360 12.3300 (0.0300) N/A 14.5400 10.8800
E-Acc Shares USD 8.770 8.7100 (0.0600) N/A 8.8500 6.3300
R (EUR Hgd)-Acc Shares EUR 8.520 8.5000 (0.0200) N/A 9.6100 7.6200
R (EUR)-Acc Shares EUR 11.350 11.3100 (0.0400) N/A 13.3500 10.0000
Z (CHF Hgd)-Acc Shares CHF 15.020 14.9300 (0.0900) N/A 15.2800 11.0800
Z (EUR)-Acc Shares EUR 18.610 18.5600 (0.0500) N/A 21.8700 16.2500
Z (GBP Hgd)-Acc Shares GBP 16.240 16.1400 (0.1000) N/A 16.3500 11.7100
Z (GBP)-Acc Shares GBP 17.130 17.1100 (0.0200) N/A 19.8700 15.2400
Z-AD Shares USD 9.920 9.9000 (0.0200) N/A 11.1900 8.7000
Z-Acc Shares USD 17.840 17.8000 (0.0400) N/A 20.1300 15.6500
A (EUR Hgd)-AD Shares EUR 8.730 8.7100 (0.0200) N/A 9.8400 7.7800
C-Acc Shares USD 18.130 18.0900 (0.0400) N/A 20.4600 15.9100
I-Acc Shares USD 11.700 11.6700 (0.0300) N/A 13.1900 10.2100
S-Acc Shares USD 18.280 18.2400 (0.0400) N/A 20.6300 16.0300
Z (EUR Hgd)-Acc Shares EUR 15.670 15.6300 (0.0400) N/A 17.6500 13.8900
Z (EUR Hgd)-Gross-AD Shares EUR 15.370 15.3300 (0.0400) N/A 17.4000 13.6900

Invesco
Global Founders & Owners Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (HKD)-Acc Shares HKD 97.910 98.3900 (-0.4800) N/A 104.9500 94.8100
A-AD Shares USD 17.510 17.5900 (-0.0800) N/A 18.7500 15.2400
C-AD Shares USD 17.990 18.0800 (-0.0900) N/A 19.2600 15.5700
R-Acc Shares USD 20.310 20.4100 (-0.1000) N/A 21.7700 17.7900
Z (EUR Hgd)-Acc Shares EUR 9.990 10.0400 (-0.0500) N/A 10.7000 9.6900
Z-AD Shares USD 18.120 18.2100 (-0.0900) N/A 19.4000 15.6600
A-Acc Shares USD 21.750 21.8500 (-0.1000) N/A 23.2900 18.9300
C-Acc Shares USD 23.060 23.1700 (-0.1100) N/A 24.6900 19.9600
E (EUR)-Acc Shares EUR 19.210 19.3000 (-0.0900) N/A 21.4400 17.1400
Z (EUR)-Acc Shares EUR 9.990 10.0300 (-0.0400) N/A 11.1400 9.8200
Z-Acc Shares USD 23.530 23.6400 (-0.1100) N/A 25.1900 20.3300

Invesco
Global Health Care Innovation Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-AD Shares USD 189.230 189.3900 (-0.1600) N/A 212.2300 183.9700
C-AD Shares USD 224.530 224.7200 (-0.1900) N/A 251.0200 217.9800
Z-AD Shares USD 21.940 21.9600 (-0.0200) N/A 24.5000 21.2900

Invesco
Global Income Fund

Data as at 26/06/2024 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-Acc Shares AUD 12.425 12.4566 (-0.0319) N/A 12.4776 10.8594
A (AUD Hgd)-MD-1 Shares AUD 10.207 10.2309 (-0.0241) N/A 10.5396 10.0025
A (CHF-Hgd)-Acc Shares CHF 12.324 12.3555 (-0.0318) N/A 12.6750 11.7434
A (GBP Hgd)-MD1 Shares GBP 10.097 10.1206 (-0.0232) N/A 10.4623 9.9474
A (HKD Hgd)-MD1 Shares HKD 99.966 100.1920 (-0.2263) N/A 104.0029 99.3605
A (JPY Hgd)-MD1 Shares JPY 9688.000 9714.0000 (-26.0000) N/A 10000.0000 9657.0000
A (NZD Hgd)-MD1 Shares NZD 9.685 9.7071 (-0.0224) N/A 10.0156 9.6609
A (RMB Hgd)-MD1 Shares CNH 100.021 100.2657 (-0.2449) N/A 103.8896 99.1425
A (SGD Hgd)-MD1 Shares SGD 10.419 10.4449 (-0.0260) N/A 10.8193 10.2976
A (USD Hgd)-Acc Shares USD 18.613 18.6563 (-0.0431) N/A 19.1177 17.0554
A (USD)-Acc Shares USD 11.413 11.4454 (-0.0320) N/A 11.7607 10.3470
A-Gross-QD Shares EUR 9.910 9.9343 (-0.0240) N/A 10.3038 9.7013
A-MD1 Shares EUR 10.091 10.1156 (-0.0244) N/A 10.4604 9.9420
C (USD Hgd)-Acc Shares USD 19.661 19.7066 (-0.0452) N/A 20.1902 17.9253
C (USD)-Acc Shares USD 11.537 11.5691 (-0.0322) N/A 11.8573 10.3980
C-Acc Shares EUR 16.475 16.5151 (-0.0398) N/A 16.9175 15.2376
E-Acc Shares EUR 14.819 14.8553 (-0.0361) N/A 15.2226 13.8362
I-Gross-QD Shares EUR 10.699 10.7248 (-0.0254) N/A 11.1179 10.3215
R (USD Hgd)-Acc Shares USD 14.555 14.5889 (-0.0339) N/A 14.9535 13.4218
R-Gross-QD Shares EUR 9.215 9.2378 (-0.0226) N/A 9.5837 9.0786
S-Gross-QD Shares EUR 10.436 10.4624 (-0.0265) N/A 10.6012 9.4094
Z (AUD Hgd)-Acc Shares AUD 12.830 12.8632 (-0.0328) N/A 12.8831 11.1491
Z (CHF-Hgd)-Acc Shares CHF 12.930 12.9631 (-0.0331) N/A 13.2953 12.2291
Z (SGD Hgd)-Acc Shares SGD 13.103 13.1362 (-0.0332) N/A 13.1569 11.4126
Z (SGD Hgd)-MD1 Shares SGD 10.949 10.9770 (-0.0276) N/A 11.0236 9.8887
Z (USD Hgd)-Acc Shares USD 14.408 14.4410 (-0.0330) N/A 14.7945 13.1168
Z-Gross-AD Shares EUR 10.681 10.7062 (-0.0257) N/A 11.5393 10.3773
A (CZK Hgd)-Acc Shares CZK 440.588 441.6148 (-1.0266) N/A 452.3021 406.6212
A (CZK Hgd)-Gross-AD Shares CZK 337.159 337.9445 (-0.7860) N/A 364.0903 327.3073
A (SGD Hgd)-Acc Shares SGD 12.677 12.7089 (-0.0324) N/A 12.7304 11.1131
A (USD Hgd)-Gross-QD Shares USD 11.856 11.8833 (-0.0274) N/A 12.3261 11.4365
A (USD Hgd)-MD1 Shares USD 10.499 10.5236 (-0.0243) N/A 10.8937 10.3433
A-Acc Shares EUR 15.605 15.6425 (-0.0378) N/A 16.0267 14.5042
A-Gross-AD Shares EUR 9.911 9.9347 (-0.0241) N/A 10.7124 9.6949
C (USD Hgd)-QD Shares USD 13.766 13.7976 (-0.0317) N/A 14.2707 13.0762
E-Gross-QD Shares EUR 9.410 9.4326 (-0.0229) N/A 9.7852 9.2531
R-Acc Shares EUR 12.475 12.5055 (-0.0305) N/A 12.8156 11.6687
S-Acc Shares EUR 13.654 13.6865 (-0.0327) N/A 14.0184 12.5861
Z (AUD Hgd)-MD1 Shares AUD 10.639 10.6661 (-0.0270) N/A 10.7036 9.5882
Z (USD Hgd)-MD1 Shares USD 10.918 10.9432 (-0.0251) N/A 11.2880 10.6824
Z-Acc Shares EUR 13.667 13.7000 (-0.0329) N/A 14.0330 12.6201

Invesco
Global Income Real Estate Securities Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 8.610 8.6500 (-0.0400) N/A 9.6300 8.3200
A (HKD)-MD1 Shares HKD 97.030 97.5600 (-0.5300) N/A 110.5700 94.6400
A (USD)-Acc Shares USD 13.800 13.8700 (-0.0700) N/A 15.2900 13.1300
A (USD)-QD Shares USD 8.790 8.8400 (-0.0500) N/A 9.8200 8.5100
A-MD1 Shares USD 7.250 7.2800 (-0.0300) N/A 8.2300 7.0500
C (GBP Hgd)-Acc Shares GBP 10.070 10.1200 (-0.0500) N/A 11.1400 9.5700
C-Acc Shares USD 15.300 15.3800 (-0.0800) N/A 16.9200 14.5000
C-Gross-QD Shares USD 8.310 8.3600 (-0.0500) N/A 10.7600 7.7800
E-Acc Shares EUR 10.650 10.7000 (-0.0500) N/A 11.6900 10.4300
I (GBP)-Gross-MD Shares GBP 9.700 9.7700 (-0.0700) N/A 10.6200 9.7000
I-Gross-QD Shares USD 8.600 8.6400 (-0.0400) N/A 9.6100 8.3400
I-MD Shares USD 8.650 8.7000 (-0.0500) N/A 9.6600 8.3600
Z (GBP Hgd)-Acc Shares GBP 9.490 9.5400 (-0.0500) N/A 10.4900 9.0000
A-AD Shares USD 8.880 8.8300 (0.0500) N/A 9.6600 8.2700
T1 (GBP Hgd)-Acc Shares GBP 11.050 11.1100 (-0.0600) N/A 12.1900 10.4400
Z-AD Shares USD 8.950 9.0000 (-0.0500) N/A 11.4300 8.3100
Z-Gross-AD Shares USD 8.310 8.3500 (-0.0400) N/A 9.5100 8.1400

Invesco
Global Investment Grade Corporate Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-AD Shares EUR 8.179 8.2122 (-0.0336) N/A 8.6133 8.0354
A (EUR Hgd)-Acc Shares EUR 10.291 10.3333 (-0.0424) 3.79 10.4383 9.7382
A (EUR)-AD Shares EUR 12.373 12.4176 (-0.0450) N/A 13.5335 12.1227
A (HKD)-MD1 Shares HKD 73.904 74.2115 (-0.3070) N/A 77.6118 73.1298
A (RMB Hgd)-MD1 Shares CNH 71.169 71.4624 (-0.2929) N/A 74.6225 70.2234
A (USD)-AD Shares USD 11.534 11.5804 (-0.0463) 4.84 12.0376 11.1418
A (USD)-Gross-MD Shares USD 8.950 8.9860 (-0.0359) N/A 9.2125 8.7072
A (USD)-MD Shares USD 11.521 11.5675 (-0.0462) N/A 11.7987 11.1035
A-Acc Shares USD 12.789 12.8399 (-0.0513) N/A 12.9107 11.9173
A-MD1 Shares USD 7.483 7.5128 (-0.0301) N/A 7.8357 7.3890
C (EUR Hgd)-Acc Shares EUR 10.781 10.8253 (-0.0443) 3.62 10.9225 10.1803
C-AD Shares USD 11.562 11.6079 (-0.0463) 4.84 12.0963 11.1725
C-Acc Shares USD 13.084 13.1367 (-0.0525) N/A 13.2084 12.1665
E (AUD Hgd)-MD1 Shares AUD 7.323 7.3528 (-0.0296) N/A 7.6643 7.2252
E (EUR Hgd)-Acc Shares EUR 9.842 9.8824 (-0.0405) N/A 9.9948 9.3339
E (EUR)-Acc Shares EUR 15.818 15.8755 (-0.0576) 2.59 16.6940 14.9864
E-MD1 Shares USD 7.443 7.4732 (-0.0299) N/A 7.8055 7.3534
I (EUR)-FixMD Shares EUR 10.172 10.2090 (-0.0366) N/A 10.7690 9.9409
I (HKD)-MD1 Shares HKD 87.353 87.7127 (-0.3601) N/A 91.2406 86.2797
I (RMB Hgd)-MD1 Shares CNH 82.698 83.0355 (-0.3373) N/A 86.2259 81.4469
R-Acc Shares USD 12.055 12.1036 (-0.0487) N/A 12.1719 11.3025
S (EUR Hgd)-AD Shares EUR 8.607 8.6420 (-0.0353) N/A 9.0919 8.4650
S (EUR Hgd)-Acc Shares EUR 10.101 10.1423 (-0.0414) N/A 10.2181 9.5109
Z (CHF Hgd)-Acc Shares CHF 9.733 9.7734 (-0.0401) N/A 9.9765 9.3882
Z (EUR Hgd)-Gross-AD Shares EUR 7.631 7.6627 (-0.0313) N/A 8.1047 7.5510
Z (EUR)-Acc Shares EUR 11.600 11.6424 (-0.0420) N/A 12.2370 10.9146
Z (EUR)-Gross-AD Shares EUR 9.426 9.4599 (-0.0341) N/A 10.4150 9.2882
Z (GBP Hgd)-Gross-QD Shares GBP 8.486 8.5198 (-0.0336) N/A 8.7231 8.2677
Z-Acc Shares USD 11.893 11.9405 (-0.0476) N/A 12.0052 11.0369
A (AUD Hgd)-MD-1 Shares AUD 8.215 8.2482 (-0.0331) N/A 8.5855 8.1012
A (CHF Hgd)-Acc. Shares CHF 9.421 9.4600 (-0.0390) N/A 9.6811 9.1280
A (HKD)-Acc Shares HKD 87.920 87.6059 (0.3144) N/A 90.4410 80.1102
A (SGD Hgd)-MD1 Shares SGD 7.172 7.2009 (-0.0291) N/A 7.5227 7.0827
C (CHF Hgd)-Acc Shares CHF 9.575 9.6239 (-0.0488) N/A 9.8387 9.2655
C (GBP Hgd)-Acc Shares GBP 11.138 11.1819 (-0.0441) N/A 11.2409 10.3820
C-MD1 Shares USD 8.574 8.6081 (-0.0344) N/A 8.9650 8.4623
C-QD Shares USD 9.433 9.4706 (-0.0379) N/A 9.6595 9.1174
E (EUR Hgd)-MD Shares EUR 8.179 8.2123 (-0.0336) N/A 8.4471 8.0047
E-Acc Shares USD 9.775 9.8147 (-0.0393) N/A 9.8693 9.1290
I (GBP Hgd)-Gross-MD Shares GBP 10.232 10.2718 (-0.0403) N/A 10.4913 9.8924
I-MD1 Shares USD 8.784 8.8190 (-0.0350) N/A 9.1490 8.6586
S (SGD-Hgd)-Acc Shares SGD 9.564 9.6027 (-0.0387) N/A 9.6804 9.0204
S-Acc Shares USD 12.470 12.5199 (-0.0499) N/A 12.5875 11.5636
Z (EUR Hgd)-Acc Shares EUR 10.427 10.4692 (-0.0423) N/A 10.5538 9.8282
Z (GBP Hgd)-Acc Shares GBP 10.749 10.7911 (-0.0425) N/A 10.8476 10.0025

Invesco
Global Small Cap Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-AD Shares USD 202.910 202.4800 (0.4300) N/A 224.8300 194.3900
C-AD Shares USD 228.050 227.5600 (0.4900) N/A 252.8700 217.8200
Z (EUR)-AD Shares EUR 14.220 14.1800 (0.0400) N/A 16.3800 13.9100
Z (EUR)-Acc Shares EUR 25.410 25.3500 (0.0600) N/A 29.1300 24.7300
A (EUR)-AD Shares EUR 20.230 20.1800 (0.0500) N/A 23.2400 19.8400
S-AD Shares USD 13.970 13.9400 (0.0300) N/A 15.5500 13.3500
Z-AD Shares USD 19.710 19.6700 (0.0400) N/A 21.9000 18.8300

Invesco
Global Total Return (EUR) Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 11.355 11.3955 (-0.0408) N/A 11.7269 11.1447
A (EUR)-AD Shares EUR 10.148 10.1823 (-0.0345) N/A 10.7046 10.0586
A (USD Hgd)-Acc Shares USD 13.789 13.8347 (-0.0455) N/A 13.9729 13.0137
C (CHF Hgd)-Acc Shares CHF 11.972 12.0144 (-0.0427) N/A 12.3370 11.7035
C (USD Hgd)-MD Shares USD 10.899 10.9350 (-0.0358) N/A 11.2094 10.6258
E (EUR)-QD Shares EUR 10.868 10.9053 (-0.0370) N/A 11.2641 10.7669
I-FixMD Shares EUR 10.039 10.0730 (-0.0338) N/A 10.3714 9.8612
R-MD Shares EUR 10.442 10.4776 (-0.0357) N/A 10.8219 10.3033
S-Acc Shares EUR 10.892 10.9292 (-0.0369) N/A 11.0589 10.3634
Z-AD Shares EUR 9.845 9.8781 (-0.0333) N/A 10.4171 9.7653
A (SEK Hgd)-Acc Shares SEK 125.740 126.1724 (-0.4323) N/A 128.3935 120.6596
A-Acc Shares EUR 15.066 15.1176 (-0.0512) N/A 15.3475 14.4213
A-FixMD Shares EUR 8.569 8.5978 (-0.0292) N/A 8.9051 8.4650
B-Acc Shares EUR 10.512 10.5477 (-0.0360) N/A 10.7455 10.1262
C-Acc Shares EUR 16.084 16.1390 (-0.0545) N/A 16.3497 15.3358
E-Acc Shares EUR 14.530 14.5792 (-0.0495) N/A 14.8187 13.9380
Z-Acc Shares EUR 11.447 11.4860 (-0.0387) N/A 11.6278 10.9004

Invesco
Gold & Special Minerals Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 4.660 4.5400 (0.1200) N/A 5.0200 3.5500
A (HKD)-Acc Shares HKD 67.110 65.4500 (1.6600) N/A 71.4500 50.4000
A (USD)-Acc Shares USD 7.930 7.7300 (0.2000) N/A 8.4400 5.9100
C (EUR Hgd)-Acc Shares EUR 5.090 4.9700 (0.1200) N/A 5.4700 3.8600
C-Acc Shares USD 8.670 8.4500 (0.2200) N/A 9.2000 6.4200
E-Acc Shares EUR 6.750 6.5800 (0.1700) N/A 7.4000 5.0800
R-Acc Shares USD 5.670 5.5300 (0.1400) N/A 6.0500 4.2500
Z (EUR Hgd)-Acc Shares EUR 16.590 16.1800 (0.4100) N/A 17.8000 12.5300

Invesco
Greater China Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-Acc Shares AUD 13.660 13.6600 (0.0000) N/A 14.2000 10.8500
A (EUR Hgd)-Acc Shares EUR 37.810 37.8100 (0.0000) N/A 39.6000 30.1800
A (EUR)-AD Shares EUR 15.800 15.8000 (0.0000) N/A 16.8600 12.4200
A (USD)-Acc Shares USD 65.390 65.3900 (0.0000) N/A 67.5000 51.2000
B (USD)-Acc Shares USD 50.710 50.7100 (0.0000) N/A 52.5400 39.9200
C (EUR Hgd)-Acc Shares EUR 43.670 43.6700 (0.0000) N/A 45.6100 34.7300
C-Acc Shares USD 75.470 75.4600 (0.0100) N/A 77.7000 58.7700
E-Acc Shares EUR 50.010 49.9900 (0.0200) N/A 52.9500 39.1600
R-Acc Shares USD 15.380 15.3800 (0.0000) N/A 15.9200 12.0900
Z (EUR Hgd)-Acc Shares EUR 8.730 8.7300 (0.0000) N/A 9.1100 6.9300
Z (EUR)-Acc Shares EUR 22.020 22.0100 (0.0100) N/A 23.2900 17.0800
A (CHF Hgd)-Acc. Shares CHF 10.060 10.0600 (0.0000) N/A 10.6300 8.1300
A (EUR Hgd)-AD Shares EUR 10.190 10.1900 (0.0000) N/A 10.7600 8.2000
A (HKD)-Acc Shares HKD 116.060 116.0600 (0.0000) N/A 119.7400 90.9900
A (RMB Hgd)-Acc Shares CNH 113.950 113.9600 (-0.0100) N/A 119.0500 91.1900
C-AD Shares USD 12.770 12.7700 (0.0000) N/A 13.3300 10.0800
S (EUR Hgd)-Acc Shares EUR 8.410 8.4100 (0.0000) N/A 8.7700 6.6700
S-Acc Shares USD 14.380 14.3800 (0.0000) N/A 14.7700 11.1400
Z-Acc Shares USD 17.930 17.9300 (0.0000) N/A 18.4500 13.9300

Invesco
India Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-AD-GI Shares EUR 4.766 4.7611 (0.0045) N/A 5.3021 4.7375
A (EUR Hgd)-Acc Shares EUR 9.642 9.6327 (0.0092) N/A 10.0116 9.5606
A (EUR)-AD Shares EUR 7.098 7.0880 (0.0104) N/A 7.9327 7.0880
A (HKD)-MD1 Shares HKD 92.714 92.6252 (0.0886) N/A 100.4369 92.1560
A (USD)-Acc Shares USD 12.404 12.3905 (0.0136) N/A 12.7674 12.2537
A (USD)-MD-1 Shares USD 5.689 5.6829 (0.0062) N/A 6.1354 5.6494
C (EUR Hgd)-Acc Shares EUR 9.202 9.2193 (-0.0174) N/A 9.2373 8.8870
C (EUR)-Acc Shares EUR 11.411 11.3936 (0.0170) N/A 12.1330 11.2651
C-Acc Shares USD 13.172 13.1574 (0.0146) N/A 13.5234 12.9474
C-Gross-MD Shares USD 6.746 6.7389 (0.0075) N/A 7.1513 6.6985
E (EUR Hgd)-Gross-MD Shares EUR 4.705 4.7003 (0.0044) N/A 5.1318 4.6764
E (EUR)-Acc Shares EUR 10.159 10.1443 (0.0148) N/A 10.8220 10.0865
I-FixMD Shares USD 8.450 8.4403 (0.0096) N/A 8.8994 8.3878
R (EUR)-Acc Shares EUR 10.002 9.9871 (0.0145) N/A 10.6579 9.9408
S-Acc Shares USD 11.262 11.2498 (0.0125) N/A 11.5490 11.0446
Z (EUR Hgd)-Acc Shares EUR 9.613 9.6035 (0.0093) N/A 9.9506 9.5302
Z (EUR)-Acc Shares EUR 12.655 12.6363 (0.0188) N/A 13.4549 12.4849
Z-Acc Shares USD 12.817 12.8029 (0.0143) N/A 13.1510 12.5842
A (HKD)-Acc Shares HKD 124.307 124.1886 (0.1188) N/A 128.1219 123.3039
A (SGD Hgd)-MD1 Shares SGD 5.273 5.2677 (0.0052) N/A 5.7975 5.2395
A (USD)-MD-GI Shares USD 6.032 6.0249 (0.0066) N/A 6.4286 5.9895
A-FixMD Shares USD 6.687 6.6797 (0.0073) N/A 7.1075 6.6403
R (EUR Hgd)-Gross-MD Shares EUR 4.601 4.5965 (0.0042) N/A 5.0291 4.5741
Z (GBP Hgd)-Gross-QD Shares GBP 6.300 6.2934 (0.0070) N/A 6.7453 6.2586
Z-Gross-MD Shares USD 6.828 6.8205 (0.0076) N/A 7.2287 6.7794

Invesco
India Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 13.040 13.1100 (-0.0700) N/A 17.3100 12.8500
A (HKD)-Acc Shares HKD 243.240 244.4000 (-1.1600) N/A 320.0700 238.4200
A (RMB Hgd)-Acc Shares CNH 79.270 79.6500 (-0.3800) N/A 105.2300 78.0200
A (USD)-AD Shares USD 109.710 110.2200 (-0.5100) N/A 144.0600 106.8000
C-AD Shares USD 129.650 130.2400 (-0.5900) N/A 169.7500 125.4500
E-Acc Shares EUR 87.990 88.3700 (-0.3800) N/A 117.0900 85.9600
I-Acc Shares USD 10.170 10.2200 (-0.0500) N/A 13.2300 9.7100
S-Acc Shares USD 16.610 16.6900 (-0.0800) N/A 21.7000 15.9900
Z-AD Shares USD 16.610 16.6800 (-0.0700) N/A 21.7200 16.0300
Z-Acc Shares USD 16.630 16.7100 (-0.0800) N/A 21.7600 16.0600
A (EUR)-Acc Shares EUR 16.740 16.8100 (-0.0700) N/A 22.2300 16.2300
A-Acc Shares USD 15.580 15.6500 (-0.0700) N/A 20.4500 15.1600
R-Acc Shares USD 23.060 23.1600 (-0.1000) N/A 30.3700 22.6000

Invesco
Japanese Equity Advantage Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc Shares CHF 22.850 22.7300 (0.1200) N/A 24.0800 19.6400
A (EUR Hgd)-AD Shares EUR 15.790 15.7000 (0.0900) N/A 16.6000 13.3700
A (EUR Hgd)-Acc Shares EUR 24.590 24.4600 (0.1300) N/A 25.8500 20.8300
A (EUR)-Acc Shares EUR 10.830 10.8500 (-0.0200) N/A 11.6200 9.7100
A (GBP Hgd)-Acc Shares GBP 10.460 10.4000 (0.0600) N/A 10.9700 8.7700
A (HKD Hgd)-Acc Shares HKD 103.820 103.2100 (0.6100) N/A 109.0200 87.3100
A (JPY)-Acc Shares JPY 7335.000 7294.0000 (41.0000) N/A 7724.0000 6331.0000
A (USD Hgd)-Acc Shares USD 18.170 18.0600 (0.1100) N/A 19.0600 15.2400
A (USD)-AD Shares USD 10.530 10.5500 (-0.0200) N/A 11.3300 9.4900
A (USD)-Acc Shares USD 10.530 10.5600 (-0.0300) N/A 11.3300 9.4900
A-SD Shares JPY 10103.000 10048.0000 (55.0000) N/A 10650.0000 8729.0000
C (EUR)-Acc Shares EUR 13.320 13.3400 (-0.0200) N/A 14.2600 11.8800
C (GBP Hgd)-Acc Shares GBP 10.530 10.4700 (0.0600) N/A 11.0300 8.7900
C (USD Hgd)-Acc Shares USD 19.020 18.9100 (0.1100) N/A 19.9300 15.8700
C (USD)-AD Shares USD 10.560 10.5800 (-0.0200) N/A 11.3700 9.5000
C (USD)-Gross-AD Shares USD 10.910 10.9300 (-0.0200) N/A 11.9100 9.9600
E (EUR)-Acc Shares EUR 25.260 25.3000 (-0.0400) N/A 27.1300 22.7000
I (GBP Hgd)-Acc Shares GBP 14.990 14.9000 (0.0900) N/A 15.6900 12.4400
I (GBP)-Gross-QD Shares GBP 10.120 10.1500 (-0.0300) N/A 10.6900 9.2500
I (USD)-Acc Shares USD 10.660 10.6800 (-0.0200) N/A 11.3800 9.4800
R-Acc Shares JPY 6284.000 6249.0000 (35.0000) N/A 6622.0000 5446.0000
S (EUR)-Acc Shares EUR 12.840 12.8600 (-0.0200) N/A 13.7400 11.4500
S (GBP)-AD Shares GBP 11.640 11.6300 (0.0100) N/A 12.8600 11.3500
S (GBP)-Acc Shares GBP 11.440 11.4800 (-0.0400) N/A 12.0800 10.3900
T1 (GBP)-Acc Shares GBP 10.160 10.1900 (-0.0300) N/A 10.7300 9.2300
TI1-Acc Shares JPY 12836.000 12765.0000 (71.0000) N/A 13501.0000 11011.0000
Z (GBP)-Acc Shares GBP 12.300 12.3400 (-0.0400) N/A 12.9900 11.1800
Z (USD Hgd)-Acc Shares USD 19.070 18.9600 (0.1100) N/A 20.0000 15.9200
Z (USD)-Acc Shares USD 12.460 12.4900 (-0.0300) N/A 13.3600 11.1600
Z-Gross-AD Shares JPY 14713.000 14631.0000 (82.0000) N/A 15765.0000 12871.0000
A (EUR)-AD Shares EUR 27.660 27.7000 (-0.0400) N/A 29.7100 24.8300
C (EUR Hgd)-Acc Shares EUR 26.910 26.7600 (0.1500) N/A 28.2500 22.6700
C (JPY)-Acc Shares JPY 8445.000 8398.0000 (47.0000) N/A 8885.0000 7255.0000
C-Gross-AD Shares JPY 14697.000 14615.0000 (82.0000) N/A 15749.0000 12860.0000
S (EUR Hgd)-Acc Shares EUR 16.730 16.6400 (0.0900) N/A 17.5700 14.0800
S (SGD Hgd)-Acc Shares SGD 13.370 13.3000 (0.0700) N/A 14.0400 11.2700
S (USD)-Gross-AD Shares USD 11.010 11.0300 (-0.0200) N/A 12.0200 10.0400
S-Acc Shares JPY 19171.000 19065.0000 (106.0000) N/A 20168.0000 16455.0000
TI1-AD Shares JPY 12328.000 12260.0000 (68.0000) N/A 13117.0000 10697.0000
Z (EUR Hgd)-Acc Shares EUR 16.910 16.8200 (0.0900) N/A 17.7600 14.2600
Z (EUR)-Acc Shares EUR 23.680 23.7200 (-0.0400) N/A 25.3500 21.1300
Z (GBP Hgd)-Acc Shares GBP 17.520 17.4200 (0.1000) N/A 18.3500 14.6200
Z (USD)-AD Shares USD 10.560 10.5800 (-0.0200) N/A 11.3700 9.5000
Z-Acc Shares JPY 17932.000 17833.0000 (99.0000) N/A 18867.0000 15404.0000

Invesco
Metaverse and AI Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 17.480 17.3700 (0.1100) N/A 19.2700 15.3700
A (CZK Hgd)-Acc Shares CZK 473.780 470.8200 (2.9600) N/A 521.4800 407.3100
A (EUR)-Acc Shares EUR 14.790 14.6900 (0.1000) N/A 16.9800 12.8900
A1-Acc Shares USD 16.730 16.6200 (0.1100) N/A 18.4300 14.2400
C (EUR Hgd)-Acc Shares EUR 14.990 14.8900 (0.1000) N/A 16.5000 12.8800
C-Acc Shares USD 16.070 15.9800 (0.0900) N/A 17.7100 13.6100
E (EUR)-Acc Shares EUR 14.500 14.4100 (0.0900) N/A 16.6600 12.7300
E1 (EUR)-Acc Shares EUR 15.870 15.7600 (0.1100) N/A 18.2200 13.9100
FA (EUR)-AD Shares EUR 13.590 13.5000 (0.0900) N/A 15.5900 11.8200
FA (EUR)-Acc Shares EUR 13.590 13.5000 (0.0900) N/A 15.6000 11.8200
FA-Acc Shares USD 14.010 13.9200 (0.0900) N/A 15.4400 11.9100
S (EUR)-Acc Shares EUR 10.340 10.2700 (0.0700) N/A 11.8600 9.5100
S (GBP)-Acc Shares GBP 16.920 16.8300 (0.0900) N/A 19.1300 14.9400
S-Acc Shares USD 19.800 19.6800 (0.1200) N/A 21.8100 16.7100
Z (CHF Hgd)-Acc Shares CHF 17.820 17.7100 (0.1100) N/A 19.6300 15.5400
Z (EUR Hgd)-Acc Shares EUR 15.090 15.0000 (0.0900) N/A 16.6100 12.9400
Z (EUR)-Acc Shares EUR 17.530 17.4100 (0.1200) N/A 20.1100 15.1700
Z-Acc Shares USD 16.160 16.0600 (0.1000) N/A 17.8000 13.6600
A (EUR Hgd)-Acc Shares EUR 14.810 14.7200 (0.0900) N/A 16.3100 12.8000
A (HKD)-Acc Shares HKD 97.470 96.8600 (0.6100) N/A 107.5000 96.8600
A-Acc Shares USD 15.820 15.7200 (0.1000) N/A 17.4300 13.4800
Z (GBP)-Acc Shares GBP 16.830 16.7400 (0.0900) N/A 19.0300 14.8900

Invesco
Net Zero Global Investment Grade Corporate Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-Acc Shares USD 10.843 10.8910 (-0.0476) N/A 10.9495 10.1075
I (GBP Hgd)-Acc Shares GBP 10.852 10.8990 (-0.0469) N/A 10.9539 10.0502
S (EUR Hgd)-Acc Shares EUR 10.307 10.3530 (-0.0461) N/A 10.4167 9.7047
S-Acc Shares USD 11.017 11.0655 (-0.0483) N/A 11.1237 10.2164
Z (EUR Hgd)-Acc Shares EUR 10.282 10.3281 (-0.0460) N/A 10.3981 9.6901
Z (GBP Hgd)-Acc Shares GBP 10.701 10.7474 (-0.0463) N/A 10.8024 9.9562
Z-Acc Shares USD 10.993 11.0413 (-0.0483) N/A 11.0994 10.2004
A (EUR Hgd)-Acc Shares EUR 10.152 10.1980 (-0.0456) N/A 10.2928 9.6105
C (EUR Hgd)-Acc Shares EUR 10.220 10.2655 (-0.0457) N/A 10.3453 9.6499
C-Acc Shares USD 10.923 10.9714 (-0.0480) N/A 11.0297 10.1569
S (GBP Hgd)-Acc Shares GBP 10.726 10.7727 (-0.0466) N/A 10.8275 9.9711

Invesco
Nippon Small/Mid Cap Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (JPY)-Acc Shares JPY 1799.000 1763.0000 (36.0000) N/A 1958.0000 1508.0000
A (USD Hgd)-Acc Shares USD 21.730 21.2900 (0.4400) N/A 23.6000 17.6800
A (USD)-AD Shares USD 17.120 16.9100 (0.2100) N/A 18.9800 14.9700
B (JPY)-Acc Shares JPY 1406.000 1378.0000 (28.0000) N/A 1532.0000 1185.0000
C (USD)-AD Shares USD 18.530 18.3000 (0.2300) N/A 20.5000 16.1600
E-Acc Shares EUR 9.220 9.1000 (0.1200) N/A 10.3200 8.0600
Z-Acc Shares JPY 2365.000 2318.0000 (47.0000) N/A 2572.0000 1972.0000
C-Acc Shares JPY 2080.000 2039.0000 (41.0000) N/A 2263.0000 1738.0000

Invesco
Pan European Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc Shares CHF 16.030 16.1100 (-0.0800) N/A 16.5200 14.4600
A (EUR)-AD Shares EUR 21.920 22.0300 (-0.1100) N/A 22.6000 19.9600
A (EUR)-Acc Shares EUR 28.140 28.2800 (-0.1400) N/A 28.8200 25.2000
A (USD Hgd)-Acc Shares USD 18.570 18.6600 (-0.0900) N/A 19.0300 16.4300
B (EUR)-Acc Shares EUR 22.060 22.1700 (-0.1100) N/A 22.5900 19.8200
C (EUR)-AD Shares EUR 23.220 23.3400 (-0.1200) N/A 24.0700 21.1800
C (EUR)-Acc Shares EUR 32.490 32.6500 (-0.1600) N/A 33.2700 28.9900
C (USD Hgd)-Acc Shares USD 17.250 17.3300 (-0.0800) N/A 17.6700 15.2000
E-Acc Shares EUR 24.880 25.0000 (-0.1200) N/A 25.4800 22.3500
R-Acc Shares EUR 21.330 21.4400 (-0.1100) N/A 21.8500 19.1600
Z (USD Hgd)-Acc Shares USD 17.750 17.8400 (-0.0900) N/A 18.1800 15.6000
Z (USD)-AD Shares USD 13.070 13.1400 (-0.0700) N/A 13.4300 11.4400
Z-AD Shares EUR 16.040 16.1200 (-0.0800) N/A 16.6800 14.6500
Z-Acc Shares EUR 14.990 15.0600 (-0.0700) N/A 15.3500 13.3400
A (USD)-AD Shares USD 24.290 24.4200 (-0.1300) N/A 24.9300 21.1000
C (CHF Hgd)-Acc Shares CHF 16.690 16.7000 (-0.0100) N/A 17.6100 14.8000
C (USD)-Acc Shares USD 12.020 12.0800 (-0.0600) N/A 12.2500 10.2600
C (USD)-Acc Shares USD 10.000 0.0000 (10.0000) N/A 10.0000 10.0000

Invesco
Pan European Equity Income Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-SD Shares EUR 15.710 15.7500 (-0.0400) N/A 16.0900 14.4100
A (NZD Hgd)-MD-1 Shares NZD 10.910 10.9400 (-0.0300) N/A 11.2100 10.1000
A (USD Hgd)-Acc Shares USD 18.480 18.5300 (-0.0500) N/A 18.9300 16.5900
A (USD Hgd)-MD-1 Shares USD 12.080 12.1200 (-0.0400) N/A 12.4000 11.1200
C-Acc Shares EUR 23.510 23.5800 (-0.0700) N/A 24.0800 21.2900
E-Acc Shares EUR 19.050 19.1100 (-0.0600) N/A 19.5200 17.3800
R-Acc Shares EUR 12.530 12.5700 (-0.0400) N/A 12.8500 11.4400
Z-AD Shares EUR 11.530 11.5700 (-0.0400) N/A 12.1300 10.7300
Z-Acc Shares EUR 13.990 14.0300 (-0.0400) N/A 14.3300 12.6600
Z-SD Shares EUR 15.870 15.9100 (-0.0400) N/A 16.2800 14.5800
A (AUD Hgd)-MD-1 Shares AUD 10.400 10.4300 (-0.0300) N/A 10.6800 9.6200
A (CAD Hgd)-MD-1 Shares CAD 11.010 11.0500 (-0.0400) N/A 11.3100 10.2100
A (EUR)-Acc Shares EUR 21.250 21.3100 (-0.0600) N/A 21.7800 19.3200
A (EUR)-SD-GI Shares EUR 11.370 11.4000 (-0.0300) N/A 11.7300 10.5200
A (SGD Hgd)-MD1 Shares SGD 10.520 10.5500 (-0.0300) N/A 10.8200 9.7600

Invesco
Pan European Focus Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A-AD Shares EUR 27.860 27.9200 (-0.0600) N/A 29.7000 26.1900
A-Acc Shares EUR 26.920 26.9800 (-0.0600) N/A 28.3200 24.9700
C-AD Shares EUR 11.210 11.2300 (-0.0200) N/A 11.9600 10.5600
C-Acc Shares EUR 35.020 35.0900 (-0.0700) N/A 36.6600 32.3700
E-Acc Shares EUR 30.270 30.3400 (-0.0700) N/A 31.9800 28.1600
Z-Gross-AD Shares EUR 11.060 11.0800 (-0.0200) N/A 11.9400 10.5400
R-Acc Shares EUR 29.620 29.6800 (-0.0600) N/A 31.3200 27.5700
S-Acc Shares EUR 16.200 16.1500 (0.0500) N/A 16.5700 12.8200
Z-Acc Shares EUR 14.550 14.5800 (-0.0300) N/A 15.3000 13.5200

Invesco
Pan European High Income Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 8.180 8.2000 (-0.0200) N/A 8.3100 8.0500
A (CAD Hgd)-MD-1 Shares CAD 8.600 8.6300 (-0.0300) N/A 8.7800 8.5100
A (CHF Hgd)-Acc Shares CHF 12.580 12.6100 (-0.0300) N/A 12.7400 12.0700
A (CZK Hgd)-Acc Shares CZK 402.960 403.9600 (-1.0000) N/A 407.4100 374.9100
A (EUR)-AD Shares EUR 13.250 13.2900 (-0.0400) N/A 13.9900 12.9600
A (EUR)-Acc Shares EUR 26.070 26.1400 (-0.0700) 3.16 26.3700 24.4400
A (EUR)-QD Shares EUR 13.880 13.9200 (-0.0400) 5.12 14.1700 13.5900
A (EUR)-QD-GI Shares EUR 8.590 8.6100 (-0.0200) N/A 8.8000 8.5100
A (GBP Hgd)-MD1 Shares GBP 9.950 9.9700 (-0.0200) N/A 10.1100 9.8300
A (NZD Hgd)-MD-1 Shares NZD 8.370 8.3900 (-0.0200) N/A 8.5400 8.2600
A (USD Hgd)-Acc Shares USD 16.340 16.3800 (-0.0400) N/A 16.5100 15.0900
B-Acc Shares EUR 12.440 12.4700 (-0.0300) N/A 12.5800 11.7500
C (CHF Hgd)-Acc Shares CHF 12.650 12.6800 (-0.0300) N/A 12.8100 12.0800
C (CHF Hgd)-Gross-AD Shares CHF 8.290 8.3100 (-0.0200) N/A 8.9000 8.2900
C-Gross-QD Shares EUR 8.670 8.6900 (-0.0200) N/A 8.8800 8.5700
R (USD Hgd)-Acc Shares USD 13.180 13.2100 (-0.0300) N/A 13.3300 12.2500
R-Acc Shares EUR 17.350 17.3900 (-0.0400) N/A 17.5500 16.3600
S-Acc Shares EUR 12.620 12.6600 (-0.0400) N/A 12.7600 11.7300
Z (GBP Hgd)-AD Shares GBP 11.710 11.7400 (-0.0300) N/A 12.4200 11.3000
Z (USD Hgd)-Acc Shares USD 16.560 16.6000 (-0.0400) N/A 16.7300 15.2000
Z-AD Shares EUR 11.300 11.3300 (-0.0300) N/A 12.0100 11.0600
Z-QD Shares EUR 9.500 9.5200 (-0.0200) N/A 9.7100 9.3000
A (EUR)-MD-1 Shares EUR 7.910 7.9300 (-0.0200) N/A 8.0400 7.8200
A (HKD Hgd)-MD1 Shares HKD 83.610 83.8100 (-0.2000) N/A 85.0600 82.6700
A (JPY Hgd)-MD1 Shares JPY 9978.000 10006.0000 (-28.0000) N/A 10130.0000 9873.0000
A (RMB Hgd)-MD1 Shares CNH 99.510 99.7600 (-0.2500) N/A 101.0500 98.1500
A (USD Hgd)-MD-1 Shares USD 9.200 9.2200 (-0.0200) N/A 9.3500 9.0400
C (USD Hgd)-Acc Shares USD 16.330 16.3700 (-0.0400) N/A 16.5100 15.0200
C-Acc Shares EUR 28.480 28.5500 (-0.0700) 2.91 28.8000 26.5600
E-Acc Shares EUR 23.680 23.7400 (-0.0600) 3.41 23.9500 22.2900
Z-Acc Shares EUR 12.720 12.7500 (-0.0300) N/A 12.8600 11.8400

Invesco
Pan European Small Cap Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (USD Hgd)-Acc Shares USD 23.230 23.3400 (-0.1100) N/A 24.1700 20.6100
A (USD)-AD Shares USD 36.340 36.5300 (-0.1900) N/A 37.8600 32.2300
B (EUR)-Acc Shares EUR 26.860 26.9900 (-0.1300) N/A 27.9700 24.4600
E-Acc Shares EUR 28.610 28.7500 (-0.1400) N/A 29.7900 26.0100
R-Acc Shares EUR 13.920 13.9900 (-0.0700) N/A 14.5000 12.6500
S-Acc Shares EUR 10.220 10.2700 (-0.0500) N/A 10.6300 9.6700
Z-Acc Shares EUR 16.190 16.2700 (-0.0800) N/A 16.8400 14.4900
A (EUR)-Acc Shares EUR 34.440 34.6100 (-0.1700) N/A 35.8500 31.0800
C (EUR)-Acc Shares EUR 39.710 39.9000 (-0.1900) N/A 41.3100 35.6300
C (USD Hgd)-Acc Shares USD 24.720 24.8400 (-0.1200) N/A 25.7100 21.8100

Invesco
Responsible Global Real Assets Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 12.310 12.4000 (-0.0900) N/A 13.1000 10.8200
A (GBP)-AD Shares GBP 10.820 10.9200 (-0.1000) N/A 11.3800 9.8100
A-AD Shares USD 13.980 14.0900 (-0.1100) N/A 14.9200 12.2200
C (EUR Hgd)-Acc Shares EUR 13.550 13.6600 (-0.1100) N/A 14.3800 11.8400
C-Acc Shares USD 19.570 19.7200 (-0.1500) N/A 20.5700 16.7900
E (EUR)-Acc Shares EUR 13.780 13.8800 (-0.1000) N/A 14.5300 12.2200
Z (EUR Hgd)-Acc Shares EUR 11.130 11.2200 (-0.0900) N/A 11.8100 9.7200
Z (GBP)-Acc Shares GBP 11.010 11.1100 (-0.1000) N/A 11.4200 9.8000
A-Acc Shares USD 14.000 14.1100 (-0.1100) N/A 14.7600 12.0800
S (GBP)-Acc Shares GBP 11.050 11.1500 (-0.1000) N/A 11.4500 9.8100
Z-AD Shares USD 13.480 13.5900 (-0.1100) N/A 14.4400 11.7800

Invesco
Social Progress Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-Acc Shares EUR 36.660 36.9200 (-0.2600) N/A 39.0100 33.2400
Z-AD Shares EUR 17.920 18.0500 (-0.1300) N/A 19.2300 16.3800
Z-Acc Shares EUR 13.890 13.9900 (-0.1000) N/A 14.7800 12.5300
C-Acc Shares EUR 40.680 40.9700 (-0.2900) N/A 43.2900 36.7300
E-Acc Shares EUR 31.470 31.6900 (-0.2200) N/A 33.4900 28.6600

Invesco
Sterling Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-QD Shares EUR 8.808 8.8354 (-0.0277) N/A 9.2361 8.7544
A-Acc Shares GBP 5.378 5.3940 (-0.0162) N/A 5.4686 5.1891
A-QD Shares GBP 2.461 2.4686 (-0.0074) N/A 2.5551 2.4387
C-Acc Shares GBP 5.704 5.7214 (-0.0172) N/A 5.7935 5.4917
C-QD Shares GBP 9.718 9.7468 (-0.0292) N/A 10.0916 9.6308
T1-Acc Shares GBP 10.123 10.1533 (-0.0304) N/A 10.2710 9.7276
T1-QD Shares GBP 8.744 8.7706 (-0.0263) N/A 9.0836 8.6680
Z-Acc Shares GBP 14.482 14.5250 (-0.0435) N/A 14.6997 13.9269
Z-QD Shares GBP 9.695 9.7237 (-0.0291) N/A 10.0694 9.6091
S-QD Shares GBP 9.096 9.1232 (-0.0273) N/A 9.4495 9.0169

Invesco
Sustainable Allocation Fund

Data as at 24/11/2021 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (USD Hgd)-Acc Shares USD 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
A (USD Hgd)-Acc Shares USD 11.845 11.8964 (-0.0511) N/A 12.3360 11.1577
A (USD Hgd)-MD1 Shares USD 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
A (USD Hgd)-MD1 Shares USD 10.621 10.6673 (-0.0458) N/A 11.1232 10.2441
A-AD Shares EUR 12.686 12.7421 (-0.0560) N/A 13.4355 12.2810
R-Acc Shares EUR 12.448 12.5032 (-0.0552) N/A 13.0332 11.9635
S-Acc Shares EUR 11.276 11.3255 (-0.0496) N/A 11.7674 10.7174
S-Acc Shares EUR 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
Z-Acc Shares EUR 13.601 13.6604 (-0.0599) N/A 14.1969 12.9381
A (HKD Hgd)-MD1 Shares HKD 100.000 0.0000 (100.0000) N/A 100.0000 100.0000
A (HKD Hgd)-MD1 Shares HKD 102.995 103.4355 (-0.4403) N/A 108.0816 99.9547
A-Acc Shares EUR 13.071 13.1288 (-0.0577) N/A 13.6613 12.4856
A-MD1 Shares EUR 10.000 0.0000 (10.0000) N/A 10.0000 10.0000
A-MD1 Shares EUR 10.034 10.0780 (-0.0443) N/A 10.5560 9.7824
C (USD Hgd)-Acc Shares USD 12.337 12.3905 (-0.0532) N/A 12.8456 11.5805
C-Acc Shares EUR 13.488 13.5472 (-0.0594) N/A 14.0827 12.8409
E-Acc Shares EUR 12.748 12.8039 (-0.0563) N/A 13.3330 12.2083
R (USD Hgd)-Acc Shares USD 12.158 12.2111 (-0.0527) N/A 12.6787 11.5242
Z (USD Hgd)-Acc Shares USD 12.354 12.4072 (-0.0532) N/A 12.8622 11.5858

Invesco
Sustainable China Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (HKD)-MD1 Shares HKD 93.797 94.0084 (-0.2111) N/A 95.0750 92.0845
A (SGD Hgd)-MD1 Shares SGD 9.052 9.0714 (-0.0197) N/A 9.2573 8.9091
A-Acc Shares USD 10.659 10.6812 (-0.0225) N/A 10.6868 9.9967
A-MD1 Shares USD 9.493 9.5127 (-0.0201) N/A 9.6198 9.2522
C-Acc Shares USD 10.763 10.7853 (-0.0226) N/A 10.7904 10.0647
Z-Acc Shares USD 10.808 10.8307 (-0.0227) N/A 10.8355 10.0941

Invesco
Sustainable Eurozone Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CHF Hgd)-Acc. Shares CHF 11.630 11.7000 (-0.0700) N/A 11.8500 10.2700
A-Acc Shares EUR 12.160 12.2300 (-0.0700) N/A 12.3800 10.6600
C-Acc Shares EUR 12.310 12.3800 (-0.0700) N/A 12.5300 10.7400
E-Acc Shares EUR 11.970 12.0400 (-0.0700) N/A 12.1900 10.5300
P1 (CHF Hgd)-Acc Shares CHF 11.970 12.0400 (-0.0700) N/A 12.1900 10.5300
P1 (GBP Hgd)-Acc Shares GBP 12.820 12.8900 (-0.0700) N/A 13.0500 11.0400
P1 (USD Hgd)-Acc Shares USD 12.990 13.0600 (-0.0700) N/A 13.2200 11.1500
PI1 (CHF Hgd)-Acc Shares CHF 11.990 12.0600 (-0.0700) N/A 12.2100 10.5500
PI1 (USD Hgd)-Acc Shares USD 12.980 13.0500 (-0.0700) N/A 13.2200 11.1400
PI1-Acc Shares EUR 12.520 12.5900 (-0.0700) N/A 12.7400 10.8700
S-Acc Shares EUR 12.420 12.4900 (-0.0700) N/A 12.6400 10.8100
TI1-AD Shares EUR 11.770 11.8400 (-0.0700) N/A 12.2000 10.5700
Z (CHF Hgd)-Acc Shares CHF 11.830 11.9000 (-0.0700) N/A 12.0600 10.4200
Z (GBP Hgd)-Acc Shares GBP 12.250 12.3200 (-0.0700) N/A 12.4700 10.5800
Z-Gross-AD Shares EUR 11.500 11.5700 (-0.0700) N/A 12.0000 10.4200
A-AD Shares EUR 11.740 11.8100 (-0.0700) N/A 12.0200 10.4900
P1-Acc Shares EUR 12.510 12.5800 (-0.0700) N/A 12.7400 10.8700
TI1-Acc Shares EUR 12.490 12.5600 (-0.0700) N/A 12.7100 10.8600
Z-Acc Shares EUR 12.370 12.4300 (-0.0600) N/A 12.5900 10.7700

Invesco
Sustainable Global High Income Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-MD-1 Shares AUD 6.010 6.0200 (-0.0100) N/A 6.1500 5.9200
A (CHF Hgd)-Acc. Shares CHF 11.390 11.4200 (-0.0300) N/A 11.5000 10.9200
A (EUR Hgd)-AD Shares EUR 6.130 6.1500 (-0.0200) N/A 6.6900 6.1300
A (EUR Hgd)-Acc Shares EUR 22.510 22.5700 (-0.0600) N/A 22.7000 21.1100
A (EUR Hgd)-MD Shares EUR 6.140 6.1500 (-0.0100) N/A 6.3400 6.1400
A (EUR)-AD Shares EUR 8.730 8.7500 (-0.0200) N/A 10.0200 8.7300
A (HKD)-MD Shares HKD 76.800 77.0100 (-0.2100) N/A 78.9900 76.4400
A (SEK Hgd)-Acc Shares SEK 125.040 125.3800 (-0.3400) N/A 126.1400 117.6600
A-Acc Shares USD 10.740 10.7700 (-0.0300) N/A 10.8300 9.9600
C-Acc Shares USD 27.380 27.4500 (-0.0700) N/A 27.6100 25.2400
C-MD1 Shares USD 9.150 9.1700 (-0.0200) N/A 9.3200 8.9200
C-SD Shares USD 10.260 10.2800 (-0.0200) N/A 10.8300 10.2100
Z (EUR Hgd)-Acc Shares EUR 11.000 11.0300 (-0.0300) N/A 11.0900 10.2600
Z-SD Shares USD 7.790 7.8100 (-0.0200) N/A 8.2300 7.7600
A-FixMD Shares USD 10.030 10.0500 (-0.0200) N/A 10.2100 9.7500
A-SD Shares USD 9.870 9.8900 (-0.0200) N/A 10.4100 9.8200
B-SD Shares USD 9.050 9.0700 (-0.0200) N/A 9.5000 9.0000
C (EUR Hgd)-Acc Shares EUR 24.210 24.2700 (-0.0600) N/A 24.4200 22.6500
R-Acc Shares USD 10.660 10.6200 (0.0400) N/A 10.7200 9.7500
Z (EUR Hgd)-AD Shares EUR 6.510 6.5100 (0.0000) N/A 7.0600 6.3500

Invesco
Sustainable Global Income Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (CZK Hdg)-Acc Shares CZK 364.002 365.0098 (-1.0082) N/A 378.2510 344.0377
A (USD)-AD Shares USD 11.273 11.3093 (-0.0367) N/A 12.0731 10.6865
A (USD)-Acc Shares USD 11.876 11.9148 (-0.0386) N/A 12.4742 11.0415
A-AD Shares EUR 10.978 11.0098 (-0.0315) N/A 11.6423 10.6554
A-Acc Shares EUR 11.572 11.6047 (-0.0332) N/A 12.0335 11.0134
A-Gross-QD Shares EUR 10.555 10.5854 (-0.0303) N/A 11.0645 10.4119
S-Acc Shares EUR 11.806 11.8399 (-0.0336) N/A 12.2681 11.1497
Z-Gross-AD Shares EUR 10.761 10.7915 (-0.0307) N/A 11.5825 10.5385
Z (USD)-Acc Shares USD 12.075 12.1144 (-0.0389) N/A 12.6433 11.1524
Z-Acc Shares EUR 11.763 11.7967 (-0.0335) N/A 12.2248 11.1228

Invesco
Sustainable Global Structured Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-AD Shares EUR 12.760 12.8800 (-0.1200) N/A 13.2800 11.4000
A (EUR Hgd)-Acc Shares EUR 51.510 52.0000 (-0.4900) N/A 53.2600 45.7100
A (HKD)-MD1 Shares HKD 105.140 106.1600 (-1.0200) N/A 109.4200 96.3700
A (RMB Hgd)-MD1 Shares CNH 100.000 100.9700 (-0.9700) N/A 104.1800 96.8800
A-Acc Shares USD 16.550 16.7100 (-0.1600) N/A 17.0300 14.4500
C (EUR Hgd)-Acc Shares EUR 57.130 57.6800 (-0.5500) N/A 59.0200 50.5200
C (GBP Hgd)-Acc Shares GBP 54.680 55.2000 (-0.5200) N/A 56.2500 47.7100
C-Acc Shares USD 17.230 17.3900 (-0.1600) N/A 17.7300 14.9900
E-Acc Shares EUR 74.360 75.0400 (-0.6800) N/A 80.2100 66.7700
I (GBP Hgd)-Acc Shares GBP 12.920 13.0400 (-0.1200) N/A 13.2800 11.1800
R-Acc Shares USD 15.750 15.9100 (-0.1600) N/A 16.2300 13.8400
S (EUR Hgd)-AD Shares EUR 12.510 12.6300 (-0.1200) N/A 13.0800 11.1800
Z-AD Shares USD 15.040 15.1800 (-0.1400) N/A 15.6400 13.2100
A (USD)-AD Shares USD 73.670 74.3700 (-0.7000) N/A 76.3000 64.7200
A (USD)-MD-1 Shares USD 10.390 10.4900 (-0.1000) N/A 10.8000 9.4400
C-AD Shares USD 77.240 77.9800 (-0.7400) N/A 80.2700 67.8700
Z (EUR Hgd)-Acc Shares EUR 15.200 15.3400 (-0.1400) N/A 15.6900 13.4300
Z-Acc Shares USD 15.140 15.2800 (-0.1400) N/A 15.5800 13.1600

Invesco
Sustainable Multi-Sector Credit Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR)-Acc Shares EUR 3.267 3.2731 (-0.0061) 1.34 3.2900 3.0835
C (GBP Hgd)-Acc Shares GBP 9.779 9.7903 (-0.0117) N/A 10.9122 9.2712
C (USD Hgd)-QD Shares USD 9.698 9.7148 (-0.0170) N/A 9.8608 9.4483
C-Acc Shares EUR 3.556 3.5627 (-0.0067) 1.28 3.5808 3.3458
E-Acc Shares EUR 3.105 3.1113 (-0.0059) 1.39 3.1275 2.9376
E-QD Shares EUR 7.575 7.5895 (-0.0143) N/A 7.6988 7.4858
I-Acc Shares EUR 3.890 3.8975 (-0.0071) 1.15 3.9168 3.6393
R-Acc Shares EUR 10.424 10.4440 (-0.0198) N/A 10.4993 9.9007
S (GBP Hgd)-Acc Shares GBP 11.567 11.5871 (-0.0201) N/A 11.6407 10.7236
S (GBP Hgd)-QD Shares GBP 8.665 8.6616 (0.0034) N/A 8.7820 8.2949
Z (GBP Hgd)-Acc Shares GBP 11.341 11.3612 (-0.0197) N/A 11.4140 10.5277
Z-Acc Shares EUR 10.717 10.7372 (-0.0199) N/A 10.7914 10.0725
A-AD Shares EUR 7.548 7.5621 (-0.0141) N/A 7.9471 7.4588
A-QD Shares EUR 7.576 7.5901 (-0.0142) N/A 7.7032 7.4886
C (USD Hgd)-Acc Shares USD 14.083 14.1073 (-0.0247) N/A 14.1732 13.0593
S-AD Shares EUR 7.650 7.6338 (0.0159) N/A 8.2624 7.4427

Invesco
Sustainable Pan European Structured Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (AUD Hgd)-Acc Shares AUD 16.800 16.8400 (-0.0400) N/A 17.0400 14.2700
A (CZK Hgd)-Acc Shares CZK 470.790 471.7600 (-0.9700) N/A 477.3600 399.5600
A (CZK)-Acc Shares CZK 414.910 415.1500 (-0.2400) N/A 422.8000 357.7500
A (EUR Port Hgd)-AD Shares EUR 16.230 16.2700 (-0.0400) N/A 16.6500 14.2000
A (EUR)-Acc Shares EUR 27.210 27.2700 (-0.0600) N/A 27.6000 23.2400
A (USD Hgd)-Acc Shares USD 21.520 21.5600 (-0.0400) N/A 21.8200 18.1100
B-Acc Shares EUR 22.150 22.2000 (-0.0500) N/A 22.4700 19.0800
C (CHF Hgd)-Acc Shares CHF 20.680 20.7300 (-0.0500) N/A 20.9900 17.9800
C (PfHgd)-AD Shares EUR 16.510 16.5400 (-0.0300) N/A 17.0100 14.4500
C (PfHgd)-Acc Shares EUR 19.560 19.6100 (-0.0500) N/A 19.7600 16.7300
C (USD Hgd)-Acc Shares USD 19.050 19.0800 (-0.0300) N/A 19.3100 15.9600
C-AD Shares EUR 13.240 13.2700 (-0.0300) N/A 13.7200 11.5200
C-Acc Shares EUR 30.700 30.7700 (-0.0700) N/A 31.1400 26.1100
E-Acc Shares EUR 21.690 21.7400 (-0.0500) N/A 22.0100 18.6800
I (GBP Hgd)-Acc Shares GBP 14.260 14.2800 (-0.0200) N/A 14.4500 11.8600
R (USD Hgd)-Acc Shares USD 16.110 16.1400 (-0.0300) N/A 16.3400 13.6400
S-Acc Shares EUR 14.990 15.0200 (-0.0300) N/A 15.2000 12.7100
Z (EUR PfHgd)-Acc Shares EUR 10.870 10.9100 (-0.0400) N/A 12.1600 9.8600
Z (EUR)-Gross-QD Shares EUR 12.000 12.0500 (-0.0500) N/A 13.8600 10.8900
Z-Acc Shares EUR 16.380 16.4100 (-0.0300) N/A 16.6100 13.9000
A (CHF Hgd)-Acc Shares CHF 19.490 19.5400 (-0.0500) N/A 19.7900 17.0300
A (EUR Port Hgd)-Acc Shares EUR 18.600 18.6400 (-0.0400) N/A 18.7900 15.9800
A (EUR)-AD Shares EUR 22.240 22.2900 (-0.0500) N/A 22.9400 19.3400
A (USD Hgd)-MD-1 Shares USD 10.710 10.7300 (-0.0200) N/A 10.8800 9.3700
R-Acc Shares EUR 25.700 25.7500 (-0.0500) N/A 26.0700 22.0900
S-AD Shares EUR 13.250 13.2800 (-0.0300) N/A 13.7700 11.5200
Z-AD Shares EUR 18.990 19.0300 (-0.0400) N/A 19.7100 16.5200

Invesco
UK Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
C-AD Shares GBP 12.190 12.1800 (0.0100) N/A 12.6900 11.1000
T1-SD Shares GBP 11.400 11.4000 (0.0000) N/A 11.8700 10.3900
A-AD Shares GBP 11.610 11.6100 (0.0000) N/A 12.0500 10.5800
E (EUR)-Acc Shares EUR 16.860 16.8300 (0.0300) N/A 17.6100 14.9700
Z-AD Shares GBP 16.080 16.0700 (0.0100) N/A 16.7600 14.6500

Invesco
UK Investment Grade Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (GBP)-QD Shares GBP 0.798 0.8014 (-0.0033) 4.37 0.8522 0.7877
C-Acc Shares GBP 8.992 9.0287 (-0.0368) N/A 9.4304 8.7957
C-QD Shares GBP 8.566 8.6008 (-0.0350) N/A 9.1471 8.4565
Z-Acc Shares GBP 8.753 8.7892 (-0.0358) N/A 9.1747 8.5613
Z-QD Shares GBP 8.816 8.8522 (-0.0360) N/A 9.4146 8.7043

Invesco
US High Yield Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 12.794 12.8325 (-0.0383) N/A 12.9062 12.0498
A (SEK Hgd)-Acc Shares SEK 105.135 105.4463 (-0.3115) N/A 106.0547 99.3083
C-MD Shares USD 7.878 7.8782 (-0.0002) N/A 8.0738 7.5864
E-Acc Shares EUR 16.763 16.8054 (-0.0423) N/A 17.8709 15.7515
R-Acc Shares USD 14.259 14.3007 (-0.0414) N/A 14.3801 13.3110
Z-Acc Shares USD 12.746 12.7826 (-0.0366) N/A 12.8501 11.7461
A (EUR Hgd)-AD Shares EUR 6.147 6.1651 (-0.0184) N/A 6.7997 6.1467
A (HKD)-MD Shares HKD 76.729 76.9616 (-0.2322) N/A 79.6511 76.7294
A (USD)-Acc Shares USD 15.585 15.6300 (-0.0450) N/A 15.7147 14.4571
A (USD)-FixMD Shares USD 7.672 7.6941 (-0.0221) N/A 7.8510 7.5074
C (GBP Hgd)-Acc Shares GBP 9.373 9.3394 (0.0338) N/A 9.4272 8.5731
C-Acc Shares USD 15.138 15.1811 (-0.0435) N/A 15.2617 13.9763

Invesco
US Investment Grade Corporate Bond Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (EUR Hgd)-Acc Shares EUR 10.239 10.3024 (-0.0634) N/A 10.5335 9.7017
C-Acc Shares USD 12.558 12.6343 (-0.0766) N/A 12.7841 11.6764
E (EUR Hgd)-Acc Shares EUR 9.945 10.0066 (-0.0616) N/A 10.2429 9.4442
E (EUR)-Acc Shares EUR 12.119 12.1888 (-0.0696) N/A 12.7850 11.5047
R (EUR Hgd)-Acc Shares EUR 9.272 9.3296 (-0.0576) N/A 9.5691 8.8378
S (EUR Hgd)-AD Shares EUR 7.928 7.9773 (-0.0489) N/A 8.5528 7.8603
Z (GBP Hgd)-Acc Shares GBP 10.739 10.8034 (-0.0648) N/A 10.9327 9.9996
Z-Acc Shares USD 12.719 12.7964 (-0.0776) N/A 12.9389 11.8103
A (EUR Hgd)-AD Shares EUR 7.929 7.9783 (-0.0491) N/A 8.5279 7.8542
A-Acc Shares USD 12.243 12.3176 (-0.0748) N/A 12.4815 11.4136
C (GBP Hgd)-Acc Shares GBP 10.479 10.4794 (-0.0007) N/A 10.4927 9.3534
R-Acc Shares USD 11.565 11.6356 (-0.0709) N/A 11.8299 10.8478

Invesco
US Value Equity Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (USD)-Acc Shares USD 69.860 70.2900 (-0.4300) N/A 73.8500 63.2800
A (USD)-SD Shares USD 65.060 65.4600 (-0.4000) N/A 68.7900 59.0400
C-Acc Shares USD 85.870 86.4000 (-0.5300) N/A 90.7300 77.2300
C-SD Shares USD 64.790 65.1800 (-0.3900) N/A 68.7400 58.8200
E-Acc Shares EUR 38.860 39.0800 (-0.2200) N/A 42.9800 35.7800
R-Acc Shares USD 54.680 55.0200 (-0.3400) N/A 57.8200 49.8700
S (EUR)-Acc Shares EUR 10.610 10.6700 (-0.0600) N/A 11.7100 9.6700
S-Acc Shares USD 12.950 13.0300 (-0.0800) N/A 13.6800 11.6300
Z (GBP)-Acc Shares GBP 17.480 17.6100 (-0.1300) N/A 19.1600 16.1300

Invesco
USD Ultra-Short Term Debt Fund

Data as at 12/03/2025 View product
Share class Currency Repurchase price Previous day's redemption price Historic yield (%) High Low TIS
A (USD)-Acc Shares USD 105.150 105.1685 (-0.0182) N/A 105.1685 99.7664
I-Gross MD Shares USD 10.125 10.1263 (-0.0016) N/A 10.1663 10.0677
C-Acc Shares USD 110.246 110.2645 (-0.0187) N/A 110.2645 104.4756
E-Acc Shares USD 11.648 11.6499 (-0.0021) N/A 11.6499 11.0624
Z-Acc Shares USD 12.009 12.0114 (-0.0020) N/A 12.0114 11.3786
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